Biography
Ross Albert represents individuals and companies under scrutiny by government agencies (particularly the U.S. Securities and Exchange Commission, SEC) and Self-Regulatory Organizations (particularly the Financial Industry Regulatory Authority, FINRA) and subject to investigations, inquiries and enforcement actions, including those arising from allegations of insider trading. He also advises clients in matters arising from actions and inquiries by the U.S. Department of Justice (DOJ), the Georgia Secretary of State’s Office, and other law enforcement agencies and SROs.
Albert’s noteworthy credentials include well-publicized victories at both the trial and appellate levels, but many of his greatest triumphs have been in quietly negotiated settlements with the SEC and other governmental agencies. His trial victories, both as a government lawyer and representing private parties accused of serious wrongdoing by the federal government, have contributed to his success in negotiating settlements as a defense lawyer. His trial victories include besting the SEC not once but twice in separate high-profile insider trading cases that many of his peers in the SEC defense bar thought to be unwinnable.
Albert’s record on appeal is no less distinguished. He has presented oral argument to eight different federal courts of appeal, including the 11th Circuit, as well as the highest courts in three different states (Georgia, Maryland and Virginia). His appellate accomplishments include two substantial victories before the 11th Circuit as lead government attorney in separate appeals arising from what was then the largest securities fraud prosecution in the history of Georgia. As a litigation partner at an Am Law 200 firm, he garnered many significant victories and favorable settlements. In one high-profile SEC insider trading case, Albert led the defense team through a four-day trial and extensive pre- and post-trial briefings. The SEC administrative law judge (ALJ) ruled for the client on all claims. Listed among Law360’s “Securities Cases To Watch In 2016,” the highly publicized case received coverage in The Wall Street Journal and The New York Times and other respected and popular business/financial/legal publications. In an earlier highly publicized insider trading case, a distinguished federal judge (a former U.S. Attorney in Atlanta) issued a comprehensive written opinion granting total victory to Albert’s client over the SEC on all contested issues, finding that the SEC’s evidence was unconvincing, insufficient and circumstantial.
Albert earned his bachelor’s degree in English, with honors, from Harvard University. He earned his J.D. degree from Berkeley Law (formerly Boalt Hall School of Law), where he served as associate editor for the California Law Review. Albert was further honored when Harvard Law School selected him to study in residence at HLS as a third-year exchange student.
After graduation, Albert served a competitive two-year judicial clerkship with the Hon. Alexander Harvey, II, the chief judge for the U.S. District Court, District of Maryland. Albert then worked as an associate in WilmerHale’s Washington, D.C.-based Securities Litigation and Enforcement Group. (At the time WilmerHale was known in D.C. as Wilmer, Cutler & Pickering.)
Albert went on to have eight years of distinguished service at the SEC.
For several years, he served as legal counsel and then de facto chief of staff to Commissioner Norman S. Johnson, organizing office workflow, delegating assignments, advising on staff recommendations, including proposed rules and regulations and approximately 1,500 recommendations from the Division of Enforcement, writing speeches and reviewing and drafting opinions in cases in which the SEC sat as an appellate panel. Albert completed his SEC service as senior special counsel in the Division of Enforcement, where he supervised and conducted investigations of suspected online investment fraud and cybercrimes.
Guided by a personal maxim, “When in doubt, buy the concert tickets,” Albert appreciates music in all of its forms as a performer and fan. He is closing in on nearly 2,000 concerts. Performers Albert has seen live include the Beach Boys/Brian Wilson (in various configurations, about 20 times – he has met Brian Wilson in person 6 times), Al Stewart (15 times), the Rolling Stones (12 times), U2 (11 times), Bruce Springsteen (11 times), Counting Crows (9 times), and Tom Petty & the Heartbreakers (7 times). Albert has also hosted over 20 private house concerts, several of which featured nationally and internationally known Platinum- and Gold-selling recording artists; one featured a two-time Grammy winner. A long-time electric bassist and two-time Rock ‘n’ Roll Fantasy Camper, he has performed with Cheap Trick and Blue Öyster Cult, two of his all-time favorite bands. Ross shares his Marietta home with his three beloved dogs: senior Collie/Lassie look-alike Sandy, and high energy blue merle Sheltie/Velcro companions Kyma and Little Khloe, all of whom delight in warmly welcoming (and herding) both human and canine visitors.
- Insider Trading
- Securities Fraud
- Investment Fraud
- Special Investigations
- Corporate Governance
- Securities
- Appellate Practice
- Lead counsel in a high-profile SEC insider trading case, covered by national media including The Wall St. Journal, The New York Times and Law360, which listed it as one of the “Securities Cases To Watch In 2016.” After a four-day trial and extensive post-trial briefing, the administrative law judge found for the client on all claims, In re Charles L. Hill, Jr., Admin. File No. 3- 16383, (Initial decision April 18, 2017.)
- Lead counsel in bench trial of a nationally reported SEC insider trading case. The judge found for the client on all claims, SEC v. Schvacho, 991 F. Supp. 2d 1284 (N.D. Ga. 2014).
- Lead counsel representing a prominent real estate developer charged with securities fraud in the SEC investigation and the federal court enforcement action. The case settled without any payment.
- Lead counsel representing an oil and natural gas company, its officers and directors and affiliated entities in federal court cases in Georgia and Nebraska alleging claims for securities fraud and breach of fiduciary duty. The cases settled.
- Lead counsel representing technology company defending claims asserted by founder and former chief executive officer who sought to hold up the sale of company. The case settled.
- Represented a large public company and related entities awarded summary judgment based on the rule against perpetuities on all claims arising from an alleged breach of a right of first refusal to purchase real property. The decision was affirmed by the Georgia Court of Appeals and Georgia Supreme Court.
- Presented argument to the Georgia Supreme Court. CS-Lakeview at Gwinnett, Inc. v. Simon Property Group, Inc., 283 Ga. 426, 659 S.E.2d 359 (2008), affirming 283 Ga. App. 686, 642 S.E.2d 393 (2007).
- Represented a large public company that was awarded summary judgment in the Delaware Court of Chancery on a claim brought by the company’s former Chief Financial Officer who alleged that the company had wrongfully refused to permit exercise of stock options then worth almost $35 million. Knight v. Caremark RX, Inc., 2007 WL 143099 (Del. Ch. Jan. 12, 2007).
- Drafted briefs for an appeal involving issue of whether novel financial instruments (fractional interests in viatical settlements) were “securities” or “investment contracts” for the purposes of federal securities law. SEC v. Life Partners, Inc., 87 F.3d 536 (D.C. Cir.), statement on denial of rehearing, 102 F.3d 587 (D.C. Cir. 1996).
- As a Special Assistant U.S. Attorney (AUSA), assisted with complex telemarketing/penny stock fraud prosecutions involving 12 defendants, including four-week and six-day jury trials; served as lead appellate counsel, including oral argument. United States v. Lincoln, 163 F.3d 1358 (11th Cir. 1998) (Table), cert. denied, 526 U.S. 1058 (1999); United States v. Word, 129 F.3d 1209 (11th Cir. 1997); see also United States v. Strevel, 85 F.3d 501 (11th Cir. 1996) (appeal in related case).
- As Special Assistant U.S. Attorney (AUSA), drafted a successful appellate brief involving issue of whether interests in complex gold-mining investment program were “securities” or “investment contracts” for the purposes of federal securities law. United States v. Brooks, 62 F.3d 1425, 1995 WL 451090 (9th Cir. 1995) (Table, Text in WESTLAW).
- Drafted a brief and successfully argued an appeal involving challenge to the misappropriation theory of insider trading. SEC v. Estate of Hirshberg, 101 F.3d 109, 1996 WL 137630 (2d Cir. 1996) (Table, Text in WESTLAW).
- Drafted a brief and successfully argued the case of first impression, a jurisdictional challenge to the SEC’s ability to regulate intrastate securities fraud. SEC v. Midwest Investments, Inc., 85 F.3d 630, 1996 WL 229783 (6th Cir.), cert. denied, 520 U.S. 1165 (1997).
- Lead counsel in pro bono case presenting issue of first impression on whether Maryland law granted an adulterous lover standing to bring an action to determine the paternity of a child born to a married couple. Argued the case to the highest state court in Maryland, also represented the couple in visitation and custody proceedings before trial court; declined the invitation to appear on “The Jerry Springer Show.” Mattingly v. Shifflett, 609 A.2d 329 (Md. 1992).
“Practical Considerations for Representing Directors and Officers in Securities
Litigation,” Chapter 3 in Representing Officers and Directors Charged with
Corporate Malfeasance: Leading Lawyers on Analyzing Compliance Programs,
Evaluating Risk and Working Through Corporate Governance Issues (Thompson
Reuters/Aspatore Books 2015).
“Defending SEC Investigations and Enforcement Actions,” Chapter 1 in The
Practice of Corporate Law: Leading Lawyers on Best Practices for Representing
Public and Private Companies (Aspatore Books 2006).
“Déjà Vu All Over Again”: The Securities and Exchange Commission Once More
Attempts to Regulate the Accounting Profession Through Rule 102(e) of Its
Rules of Practice, 1999 Utah L. Rev. 553 (with SEC Commissioner Norman S.
Johnson).
“Trouble for the Investor’s Lawsuit: How Endangered is It?” Business Law Today,
July/Aug. 1995, at 41 (with SEC Solicitor Paul Gonson).
EDUCATION
Harvard University, A.B. (English, cum laude)
UC Berkeley School of Law, J.D.
Harvard Law School (third-year in-residence exchange program)
BAR ADMISSION
Georgia
District of Columbia
Court Admissions
U.S. Courts of Appeals: District of Columbia, Second, Third, Fourth, Fifth, Sixth,
Eighth, Ninth and Eleventh
U.S. District Court, Northern District of Georgia
U.S. Supreme Court
Professional and Community
American Bar Association
UC Berkeley Law Alumni Club of Georgia (past president)
Harvard Club of Georgia
Association of Securities and Exchange Commission Alumni
Honors and Awards
“Litigation Department of the Year: White Collar/Securities Defense”
The Daily Report (ALM/Law.com) (2015)
National “MVP” attorney
Law360: White Collar/Securities
“AV” peer review rating
2005 – present
Biography
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Practice Areas
- Estate Planning
- Business and Corporate Law
- Contract Law
- Real Estate Law
EDUCATION & BAR ADMISSION
BA, Columbia College; 2001
Master of Law, 2007. UK University
Admitted to the Bar since 2013
Member of the International Bar Association
Member of the London City Bar Association
PRATICE AREAS
Leading lawyer in London for Dispute Resolution
The Legal500 (2015 – 2018)
Leading lawyer in London for Family law
Legal Awards 2016
The best team in London for International Trade
Legal Awards 2018
Leading lawyer in London for Private clients practice The
Legal500 2018
My Skills
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