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Robert Pommer

Robert W. Pommer III is a partner in the Litigation Department and a member of Proskauer's Securities Enforcement, White Collar Defense & Investigations and Asset Management Litigation groups. Bob’s practice focuses on a broad range of securities-related enforcement and compliance issues. He represents private fund managers, financial institutions, public companies and their senior executives in enforcement investigations and litigation conducted by the SEC, the U.S. Department of Justice, and other governmental entities and financial services regulators. He also conducts internal investigations and counsels investment advisers and public companies on regulatory compliance, corporate governance and other SEC-related issues. Prior to his career in private practice, Bob served as Assistant Chief Litigation Counsel in the SEC’s Division of Enforcement for nine years. While there, he investigated and litigated several high-profile cases involving complex financial fraud and audit failures. Bob also worked on enforcement actions involving insider trading, investment adviser and broker-dealer issues, market manipulation and other violations of the federal securities laws. · Proskauer Rose LLP

United StatesLitigation, Securities Enforcement

About

Bob's practice focuses on a broad range of securities-related enforcement and compliance issues. He represents private fund managers, financial institutions, public companies and their senior executives in enforcement investigations and litigation conducted by the SEC, the U.S. Department of Justice, and other governmental entities and financial services regulators.

Practice areas

LitigationSecurities EnforcementWhite Collar Defense & InvestigationsAsset Management Litigation

Office

Expertise

Private Fund ManagersFinancial InstitutionsPublic CompaniesInvestment AdvisersCorporate GovernanceRegulatory Compliance