As a Partner at Davis Wright Tremaine LLP, Robert Howard brings a wealth of expertise in securities enforcement, compliance, and litigation, positioning him as a trusted advisor for financial services firms, public companies, and individuals navigating the complex landscape of securities regulations. With a robust...
As a Partner at Davis Wright Tremaine LLP, Robert Howard brings a wealth of expertise in securities enforcement, compliance, and litigation, positioning him as a trusted advisor for financial services firms, public companies, and individuals navigating the complex landscape of securities regulations. With a robust practice focused on representing clients in investigations and litigation initiated by regulatory bodies such as the SEC and FINRA, Robert is adept at managing the intricacies of joint investigations that involve both civil and criminal inquiries. His extensive experience in securities law enables him to effectively guide clients through the challenges posed by potential violations of securities laws, ensuring that they are well-prepared to respond to regulatory scrutiny.
Currently, Robert is engaged in several high-stakes projects that involve defending clients against allegations of misconduct, as well as advising on compliance strategies to mitigate risks associated with securities regulations. His proactive approach to investment advisory matters and civil litigation has earned him a reputation as a formidable advocate in the field. Robert's deep understanding of the financial services industry, combined with his skills in private investigations and compliance, allows him to provide comprehensive legal solutions that address both immediate concerns and long-term strategic goals. As the regulatory landscape continues to evolve, Robert remains at the forefront, leveraging his insights to help clients navigate the complexities of securities enforcement and maintain their reputations in a highly regulated environment.