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Winston & Strawn Expands Environmental Litigation Team With Addition Of Former Senior DOJ Official Jonathan D. Brightbill


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WASHINGTON, May 13, 2021 /PRNewswire/  Winston & Strawn LLP is pleased to announce the addition of Jonathan D. Brightbill as partner in the firm s Washington, D.C., office and member of the firm s Litigation and White Collar, Regulatory Defense, and Investigations Practices.
Jonathan represents public and private companies, corporate officers, and other individuals across white collar, regulatory defense, and government and internal investigation matters, as well as complex commercial disputes. His commercial litigation experience encompasses environmental and regulatory litigation, business disputes, false advertising, consumer protection, and extensive class action and citizen suit defense work, as well as intellectual property such as patent, trademark, and trade secret disputes. ....

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Winston & Strawn Expands White Collar Litigation Team with Addition of Carol Alexis Chen


Winston & Strawn Expands White Collar Litigation Team with Addition of Carol Alexis Chen
Former Assistant U.S. Attorney and Chief of the Money Laundering Section for Central District of California Marks Latest Expansion of Winston s White Collar Team in Los Angeles
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LOS ANGELES, April 1, 2021 /PRNewswire/  Winston & Strawn LLP is pleased to announce the addition of Carol Alexis Chen as partner in the firm s Los Angeles office and as a member of the firm s White Collar, Regulatory Defense, and Investigations Practice. 
Carol served as an Assistant United States Attorney with the United States Attorney s Office for the Central District of California in Los Angeles for the last 15 years, most recently as the first female Chief in office history of the International Narcotics, Money Laundering, and Racketeering Section. Carol s tenure as an Assistant United States Attorney includes service in both the Cri ....

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The Future of FINRA, Regulatory Defense and Bad Stockbrokers :: The Market Oracle ::


FINRA stands for the Financial Industry Regulatory Authority. This tends to be the first line of defense against a bad experience with a securities broker, and it also has many other benefits. FINRA is an independent nongovernmental organization that focuses on the root of problems, securities sold to investors, and selling them to investors. It is the single largest independent regulatory body for securities firms operating in the United States. It writes and enforces the rules governing broker-dealer and registered brokers firms in the United States.
The agency oversees about 4,200 brokerage firms, 162,000 branch offices, and 629,000 registered securities representatives. This organization monitors the products and services each of them offers, thereby safeguarding investors and the public s interests in general against fraud and bad practices. ....

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