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Practice Area
Winston’s financial services litigators advise financial services companies of every size and scope on litigation, dispute resolution, and regulatory matters in local, state, and federal jurisdictions. While we are proud to have advised many clients as to how avoid formal legal proceedings, should litigation arise, we bring to bear the full strength of our nationally renowned litigation and trial practice when it does arise.
Practice Area
Government Program Fraud, False Claims Act & Qui Tam Litigation
Investigations and litigation involving alleged fraud against the government pose a significant and growing threat to organizations and individuals across all industries that engage directly or indirectly in business with federal, state, and/or local governments. The government makes aggressive use of its extensive criminal and civil investigatory powers to root out alleged fraud and abuse implicating government funds, including one of its most powerful civil enforcement tools—the federal False Claims Act (FCA)—and similar state false claims statutes.
Industry
Experience 71 results
Experience
|January 24, 2024
Winston Represents Grupo Calleja in its US$1.2 billion Acquisition of Almacenes Éxito
Experience
|November 16, 2023
Winston is representing Muzinich & Co in the context of Banook's LBO
Insights & News 3,128 results
Article
|April 30, 2024
|6 Min Read
EU Artificial Intelligence (AI) Act FAQs
This article was originally published in Bloomberg Law. Reprinted with permission. Any opinions in this article are not those of Winston & Strawn or its clients. The opinions in this article are the authors’ opinions only.
In the Media
|April 30, 2024
|1 Min Read
Nicholas Rodriguez Discusses Current State of M&A Deal Activity on Nasdaq TradeTalks
Winston & Strawn partner Nicholas Rodriguez was a featured co-panelist on Nasdaq TradeTalks, along with Jim Cassel, Co-Founder & Chairman of Cassel Salpeter & Co., and Michael Smith, Managing Director at STS Capital Partners. Nasdaq TradeTalks is hosted live by Jill Malandrino, an esteemed journalist conducting one-on-one conversations with industry experts to explore the ins-and-outs of the ever-evolving investing landscape, delving deep into the markets, trading strategies, decentralized finance, digital assets, and technology.
Article
|April 29, 2024
|9 Min Read
Circuit Split Brews Over Who’s A Securities Seller Under Act
This article was originally published in Law360. Reprinted with permission. Any opinions in this article are not those of Winston & Strawn or its clients. The opinions in this article are the authors’ opinions only.
Other Results 85 results
Law Glossary
The full name of the Dodd-Frank Act is the Dodd-Frank Wall Street Reform and Consumer Protection Act. It was passed in 2010 to regulate the financial market and protect consumers from risky financial practices. The legislation and its rules cover the following:
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Law Glossary
What Is the Securities Act of 1933?
The Securities Act of 1933 (as amended, the “Securities Act”) was passed to ensure that investors have financial and other important information about securities that are being sold publicly. It also bans the use of fraud, deceit, and misrepresentation in the sales of securities. The Securities Act, which is also referred to as the “truth in securities” law, is part of a legislative effort to govern and oversee the securities industry.