Partner Gregory Boyle to Speak at Practising Law Institute’s Understanding the Securities Laws Program
Gregory Boyle, Co-Chair of the Markets and Trading Practice, will speak at Practising Law Institute’s Understanding the Securities Laws 2025 program on June 5.
He will join the panel “Navigating Ethics and Professionalism Requirements in Securities Law Practice,” which will address legal ethics and professional responsibility issues attorneys face in SEC practice, including whistleblower rules, lawyers' roles as gatekeepers, internal investigations, and client conflict and disclosure obligations.
Greg defends clients in litigation and government investigations involving complex financial products and counsels market participants on regulatory and compliance matters. He works closely with the firm’s Investigation, Compliance and Defense Practice on investigations conducted by financial regulators and the Department of Justice.
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Gregory Boyle, Co-Chair of the Markets and Trading Practice, will speak at Practising Law Institute’s Understanding the Securities Laws 2025 program on June 5.
He will join the panel “Navigating Ethics and Professionalism Requirements in Securities Law Practice,” which will address legal ethics and professional responsibility issues attorneys face in SEC practice, including whistleblower rules, lawyers' roles as gatekeepers, internal investigations, and client conflict and disclosure obligations.
Greg defends clients in litigation and government investigations involving complex financial products and counsels market participants on regulatory and compliance matters. He works closely with the firm’s Investigation, Compliance and Defense Practice on investigations conducted by financial regulators and the Department of Justice.
Related Attorneys
Related Capabilities
Related Locations
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Partner Laurel Loomis Rimon was featured on the Fintech Layer Cake podcast, where she discussed how fintech enforcement and prosecution actually work in practice, and what exposes fintechs and banks to regulatory risk.
July 15, 2026
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Supreme Court Clarifies Scope of Private Rights of Action Under the Investment Company Act, Private Equity Law Report
Partners Charles Riely, Todd C. Toral, and Martin Glass authored a guest article for Private Equity Law Report examining the US Supreme Court's June 11, 2026, ruling on the scope of private rights of action under the Investment Company Act of 1940.
July 14, 2026
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Emily Loeb Discusses Congressional Oversight Preparedness in Bloomberg Law
Partner Emily Loeb, co-chair of Jenner & Block's Congressional Investigations Practice, spoke with Bloomberg Law article about how companies can prepare for potential oversight exposure ahead of this fall's midterm elections.
July 7, 2026
Publications
In New York Law Journal, The True Lender Doctrine and the OppFi Decision
Partners Jeremy Creelan, Michael Ross, Megan Poetzel, and Laurel Loomis Rimon, and Associate Molly Oberstein-Allen authored an article for the New York Law Journal examining the "True Lender" doctrine in light of a May 2026 California decision that provides the most detailed judicial framework to date for evaluating bank-nonbank lending partnerships.
July 1, 2026
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Partner Michael Vernick to Speak at NACUA's 2026 Annual Conference
On July 1, Partner Michael Vernick will speak on a panel at the National Association of College and University Attorneys (NACUA) 2026 Annual Conference in Nashville.
July 1, 2026