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  • Professionals (183)
  • Capabilities (64)
  • Experience (2)
  • Insights & News (1,230)
  • Other Results (27)

Professionals 183 results

Roland Hartung
Roland Hartung
Associate
  • Washington, DC
Email
+1 202-282-5014
vCard

Associate

  • Washington, DC
Justin F. Hoffman
Justin F. Hoffman
Partner
  • Houston, 
  • New York
Email
+1 713-651-2792
vCard

Partner

  • Houston
  • New York
Laura Petroff
Laura Petroff
Partner
  • Los Angeles
Email
+1 213-615-1736
vCard

Partner

  • Los Angeles
View All Professionals

Capabilities 64 results

Practice Area

IP Licensing & Due Diligence

We routinely help clients protect and commercialize their intellectual property (IP) assets and provide due diligence on complex technology and IP transactions. We negotiate and draft IP licenses and transfers; provide strategic guidance on optimal structures for IP and IT transactions; and evaluate copyright, trademark, and patent portfolios and provide related due diligence activities in connection with IPOs, mergers and acquisitions, private equity investments, licenses, and other corporate transactions....Read more

Practice Area

Labor & Employment

Our Labor & Employment Practice is one of the largest and most experienced practices among the country’s multi-disciplined law firms. Our attorneys represent global employers of all types and sizes—ranging from the Fortune 100 to privately held startups—often serving as national, regional, or preferred counsel to many of these major employers....Read more

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....Read more

Experience 2 results

Experience

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April 12, 2024

Winston Wins Unanimous Supreme Court Case Clarifying Securities Fraud Liability

Winston secured a unanimous victory in the U.S. Supreme Court for Macquarie Infrastructure Corp. in a federal securities class action that was filed after the announcement of the company’s 2017 financial results and 2018 dividend guidance caused US$2+B drop in market cap. The Court ruled that silence does not equal fraud, even if SEC regulations require disclosure. This decision resolves a longstanding disagreement among the lower courts about the scope of securities fraud liability under Rule 10b-5. It makes clear that a company cannot be liable under that provision for a pure omission of material information, even if SEC regulations required the information to be disclosed. This is particularly important for disclosures under Item 303 of SEC Regulation S-K, which requires management to make complex judgments about the likelihood of future events....Read more

Experience

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August 31, 2021

RLH Equity Partners and the Equityholders of ClearView Healthcare Partners Sale to GHO Capital Partners

Winston & Strawn LLP represented RLH Equity Partners, a Los Angeles-based private equity investment firm, and the other equity holders of ClearView Healthcare Partners in the sale of the company to GHO Capital Partners, a European specialist investor in global healthcare. ClearView, the leading independent strategy consulting firm focused on the life sciences industry, provides high-value guidance to its clients in connection with key decision points in the development and commercialization process and the management of growth and innovation across clients' entire clinical and commercial portfolios. ClearView's clients encompass a wide range of enterprises throughout the big pharma, biopharma, diagnostics, and medtech sectors. ClearView is set to continue driving significant organic growth, cross selling emerging solutions, including data analytics and pricing and market access, to expand an existing client base while leveraging relationships to broaden capabilities across the small and mid-cap life sciences arenas....Read more

Insights & News 1,230 results

Capital Markets & Securities Law Watch

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December 31, 2025

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5 Min Read

Section 16 Obligations Expand to Apply to Foreign Private Issuers

On December 18, 2025, as part of the National Defense Authorization Act for fiscal year 2026, the Holding Foreign Insiders Accountable Act (HFIAA) was signed into law. The HFIAA amends Section 16(a) of the Securities Exchange Act of 1934 to require directors and executive officers of foreign private issuers with a class of equity securities registered under Section 12 of the Exchange Act to comply with the same insider reporting rules that apply to U.S. domestic issuers. Beginning in March 2026, covered FPI insiders must publicly disclose their equity ownership and transactions on the same forms used by U.S. issuers—Forms 3, 4, and 5.

Winston’s Environmental Law Update

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December 23, 2025

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3 Min Read

“Compliance First”: What Does EPA’s New Policy Mean for My Business?

On December 5, 2025, the U.S. Environmental Protection Agency (EPA) Office of Enforcement and Compliance Assurance (OECA) issued an internal policy memorandum[1]that sets a “compliance first” directive for EPA’s enforcement programs.

Benefits Blast

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December 18, 2025

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5 Min Read

IRS Issues Notice Detailing Expanded Availability of Health Savings Accounts under the One Big Beautiful Bill Act (OBBBA)

The Internal Revenue Service (the IRS) recently issued Notice 2026-5 which provides guidance on changes to health saving accounts (HSAs) enacted by the One Big Beautiful Bill Act (OBBBA).

View All Insights & News

Other Results 27 results

Site Content

What Is Uniform Grant Guidance?

In 2014, the Federal Office of Management and Budget (OMB) issued Uniform Administrative Requirements, Cost Principles, and Audit Requirements for Federal Awards to Non-Federal Entities, commonly known as the Uniform Grant Guidance. The Uniform Grant Guidance is a government-wide, authoritative set of rules and requirements for federal awards intended to guard against the risk of waste, fraud, and abuse while reducing the administrative burden for non-federal entities receiving federal awards....Read more

Site Content

What Is the Financial Industry Regulatory Authority (FINRA)?

FINRA is an independent, self-regulatory organization (SRO) that regulates and oversees its member brokers as well as the stock exchange markets.  FINRA reviews public offering filings and provides regulatory guidance on fair and reasonable underwriting arrangements....Read more

Location

London

Winston’s London office acts as a hub for our cross-border clients and advises a range of emerging and global companies, corporates, financial institutions, and private investors on domestic and cross-border matters. Our legal practices include corporate, M&A, private equity, capital markets, banking and finance, restructuring, litigation and disputes, international arbitration, antitrust and competition, and tax. Practitioners based in London include not only lawyers who are recognized as leaders in their fields but also a diverse group of international professionals, many of whom are bilingual and dual-qualified. Our global platform enables our London lawyers to quickly marshal relevant experience across practices and offices....Read more
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