Andrews Kurth Elects Eight New Partners for 2012
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“The addition of this new group of partners strengthens our ability to offer great service and value to our clients every day,” said
Jon’s principal area of practice is corporate and securities law with an emphasis on mergers and acquisitions and the representation of issuers and investment banks in connection with public and private offerings of equity and debt securities. He also advises companies on corporate governance matters, periodic reporting and other requirements of the federal securities laws, the
Rich focuses his practice in litigation and international arbitration. He has experience representing clients in energy, construction, mining, telecommunications and food products-related arbitrations administered by or under the rules of the
Tanya practices in the public finance area and her practice includes serving as bond counsel, disclosure counsel, trustee's counsel and underwriters' counsel in bond transactions for school districts, hospital districts, charter schools, junior college districts, cities, counties and state agencies throughout
Casey’s practice involves both trial and appellate litigation concerning complex commercial disputes. Casey has handled cases in federal and state trial and appellate courts, involving a wide array of claims on behalf of clients ranging from Fortune 500 companies and foreign corporations to local individuals and start-ups, spanning industries such as oil and gas, energy, health care, biotechnology, internet trade and commerce, aviation, hospitality, art and cultural property, financial services, and real estate. Casey’s focus has often involved companies that have gone through internal struggles, such as partnership disputes or disputes with shareholders, or that have been defamed or been the target of business disparagement, tortious interference with contracts or business relations, or antitrust violations by competitors. Casey previously clerked for Justice
Philip’s practice covers corporate and securities matters with an emphasis on securities offerings, in which he has represented both issuers and underwriters, and mergers and acquisitions. He has particular experience with master limited partnerships. Philip also advises clients in connection with
Cameron’s practice includes all aspects of state and federal litigation in complex commercial matters, with an emphasis on appeals, post-verdict motions, supersedeas bonds, post-judgment procedures, summary judgments, motions for directed verdict and jury charges. He was part of a team which recently obtained reversal and rendition from the
Kelly focuses on the representation of energy and aviation sector clients and governmental entities in complex federal and state litigation at both the trial and appellate levels. She has successfully represented clients in a wide range of matters, including securities litigation, oil and gas proceedings, contract disputes, commercial fraud actions, fiduciary duty cases, aviation litigation, and civil rights actions. Kelly also maintains a white collar criminal defense practice and has represented individuals and businesses in connection with federal and state criminal proceedings and government investigations. Her recent successes include trial and appellate victories for a major
George’s practice covers corporate and securities matters with an emphasis on registered securities offerings, private placements (including transactions with Rule 144A resale components) and mergers and acquisitions—largely in the energy and natural resources industries. He also regularly counsels companies in connection with periodic reporting, insider/ownership reporting and corporate governance issues, and assists underwriters in offering-related FINRA compliance matters. George received his J.D. in 2003 from
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