Farris lawyer, Ben Sedrish, recently wrote for Lexpert’s Legal Insights series on the topic of whistleblower policies at securities regulators. The article, “Whistleblower programs at Canadian and U.S. securities and derivatives regulators”, discusses the whistleblower regimes at various financial regulators in the US and Canada, and the role counsel can play guiding clients through the process. Read the full article here.
Ben Sedrish is Counsel in Farris LLP’s Advocacy & Litigation group. Ben has experience advising large and small corporate clients on shareholder disputes, government inquiries, and internal investigations. He has practised in U.S. federal and state courts, arbitrations, and mediation. Prior to joining Farris, Ben was a senior trial lawyer with the U.S. Commodity Futures Trading Commission’s Division of Enforcement.
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