Robert L. Cohen

Bob is of counsel in the firm’s healthcare practice group and serves as engagement counsel for many of the firm’s largest healthcare clients. Bob’s practice focuses on healthcare transactions, particularly those involving acquisitions of hospitals, large physician practice entities and managed care companies. He has served as lead transaction counsel in multiple hospital-physician joint ventures, … Read more

Stephen P. Hanson

Steve focuses his practice in the areas of private equity, mergers and acquisitions, venture capital and emerging companies, and general corporate counseling. Steve is highly attuned to the business and legal needs of his clients. He brings a practical business acumen to guide his clients through the complexity of each transaction and prides himself on … Read more

Erik Gutiérrez Zúñiga

Erik Gutierrez Zuniga is a partner in the Corporate and Securities Practice Group in the Mexico City office, having joined Baker McKenzie in 2001 as an associate. He is currently a member of Baker McKenzie’s North America Steering Committee for Cross-border Transactions and Integrations and is an active participant of the Firm’s Global Reorganizations Practice … Read more

Meryl L. Young

Meryl L. Young is Co-Chair of Gibson, Dunn & Crutcher’s Securities Litigation Practice Group and former Co-Partner in Charge of the firm’s Orange County office. Ms. Young’s practice focuses on complex business and commercial litigation, with an emphasis on securities and merger and acquisition litigation and related government investigations. Ms. Young represents companies, directors and … Read more

Laura P. Washburn

Laura Washburn practices in the area of corporate and securities, with a particular focus on public company representation. Her areas of concentration include ‘34 Act reporting work, registration of debt and equity offerings, mergers and acquisitions and advising companies on compliance with regulations promulgated by the U.S. Securities and Exchange Commission. In particular, Laura advises … Read more

Edward B. Stevenson

Ed Stevenson’s broad corporate experience includes middle-market M&A transactions, equity and debt offerings, strategic alliances and joint ventures, corporate finance and governance, corporate, LLC and partnership formations and reorganizations, business divorces, employment matters, shareholder relations and licensing and distribution transactions. His broad based experience encompasses a range of industries, including technology, food and beverage, consumer … Read more

Hille R. Sheppard

Hille Sheppard co-leads Sidley’s global securities and shareholder litigation practice. During more than 25 years at Sidley, Hille has firmly established herself as one of the nation’s top securities litigators. She was named by Law360 as one of the 25 Most Influential Women in Securities Law and was profiled in that publication on July 22, … Read more

Joshua C. Prever

Joshua Prever is a trial and appellate lawyer representing national and global clients facing commercial litigation matters involving financial services disputes, regulatory and compliance matters, torts and securities litigation. As a partner in Holland & Knight’s Fort Lauderdale office, Mr. Prever provides strategic guidance to clients ranging from Fortune 100 and 500 companies to boutique … Read more

Michael S. Poulos

Michael S. Poulos concentrates his practice on complex litigation relating to consumer fraud, securities, insurance and professional malpractice litigation, as well as various forms of governmental investigations by the SEC, US Attorney’s office and other agencies. He is experienced representing clients from Fortune 500 companies to small closely held corporations.

William H. Paine

Bill Paine represents public companies, financial services companies and financial institutions, and their officers and directors, with respect to securities, derivative and ERISA litigation in state and federal courts, internal investigations, and SEC investigations and civil enforcement actions.