Hall of Fame
The lawyers at the very top of the profession, widely known and respected by peers and clients for their longstanding involvement in market-leading work.
Duncan Barber
Hall of fameLinklaters LLP
Duncan is a leading practitioner in the insurance sector. He has extensive experience in all types of corporate transactions within the sector, including public and private M&A, reinsurances, distribution arrangements, financings and securitisations. Duncan also advises on insurance regulation including the impact of the Solvency II Directive and the UK leaving the EU. Duncan has led on many of the transformative transactions within the insurance sector throughout the past 25 years, including advising on several of the demutualisations of the 1990s/early 2000s, on with-profits reorganisations by major insurers and on the increased use of longevity reinsurance as an innovative structure to reduce risk on pension fund liabilities. He has also advised on many transfers of life and non-life insurance business. Duncan is responsible for managing the firm’s relationships with several of the firm’s key insurer clients. He led the firm’s insurance sector group for 10 years. Duncan has advised or led on, many of the insurance sector’s highest profile transactions. These include advising:   Lloyds TSB (now Lloyds Banking Group) on its £7bn acquisition of Scottish Widows and the subsequent demutualisation, which, in addition to being a high-profile, high-value transaction, required the negotiation of bespoke protections for Scottish Widows’ policyholders, including negotiating with regulators a series of unprecedented capital reserves   Old Mutual on its takeover of the Swedish-headed global insurer Skandia, which was, at the time, the highest value takeover ever in the insurance sector. This involved preparing a UK prospectus for Old Mutual which, once approved in London, was then passported for use in Sweden and other European jurisdictions and also required obtaining regulatory approval in about 30 jurisdictions   Swiss Re’s “Admin Re” life and pensions business on its acquisition of Guardian Assurance from Cinven and management of Guardian Assurance, which involved detailed due diligence given Swiss Re was buying from private equity sellers, and was signed at a time when there remained uncertainty as to the approach being applied by the regulators to insurers under Solvency II including the subsequent Part VII transfer of the business of Guardian Assurance to ReAssure Limited   Aviva UK Life on the transfer of the whole of the long-term life insurance business of Friends Life Limited and Friends Life and Pensions Limited to Aviva Life & Pensions UK Limited by way of a court-sanctioned insurance business transfer Scheme  the Association of British Insurers and various UK insurers on the implications of, and contingency planning for, Brexit  Generali Group on the disposal of its entire shareholding in Generali Nederland (and its subsidiaries) to ASR Nederland   Duncan is also a contributory author to A Practitioner’s Guide to The FSA Regulation of Insurance.
Joseph Ferraro
Hall of fameWillkie Farr & Gallagher LLP
Joseph Ferraro is a partner in the Corporate & Financial Services Department and the Insurance - Transactional and Regulatory Practice Group in London. He has a broad range of experience advising on mergers and acquisitions transactions and corporate finance matters, including private equity investments, insurance linked securities, stock exchange listings and public offerings.
Jonathan Marks
Hall of fameSlaughter and May
Partner; Jonathan is head of one of our corporate groups and our insurance practice. He has a corporate and corporate finance practice and has been involved in demutualisations, fund-raisings, joint ventures and private and public acquisitions.
Clare Swirski
Hall of fameDebevoise & Plimpton LLP
Ms. Swirski has over 20 years' experience advising financial institutions on the full range of corporate matters, including share and business acquisitions, joint ventures, reinsurance, longevity transactions, distribution agreements and group reorganisations. Ms. Swirski's practice focuses on advising insurers and other financial institutions on a range of transactional and regulatory matters. Ms. Swirski has also advised multinational insurers on key regulatory developments impacting the sector, including general governance issues, SIMR, with-profits regulation, Solvency II and Brexit issues. Ms. Swirski has played an active role in the development of the regulatory environment for insurers in the UK. She has previously liaised with HM Treasury on changes to Part VII legislation and was a member of a group of City lawyers responding to EIOPA Solvency II consultations. She was also a member of the insurance subgroup of the Financial Markets Law Committee, which most recently considered regulatory issues arising from Brexit.
Leading partners
The strongest partners in their field, leading on market-leading deals and endorsed by peers and clients alike.
James Mee
RPC
James Mee is an award-winning transactional lawyer who has been instrumental in driving RPC's transactions business since joining from a magic circle firm in 2004. Awarded a Corporate Team of the Year accolade from the Lawyer in 2012 for a multi-billion pound sector transformational consumer products transaction, he has been shortlisted for deal awards in each of 2017, 2019 and 2021. He is a leading individual / recognised in all of the major legal directories for transactional work and sector knowledge and is an Acritas Star following recommendations by clients. Following on from the 2012 deal and award, James established and then led RPC's transactional insurance sector business.  This has gone from strength to strength and is now widely regarded as one of the City's leading legal practices in this highly dynamic sector. In addition to being an active deal do-er in the insurance and wider financial services sectors (leading more than 20 transactions in each of 2020 and 2021), James acts for corporates, private equity and other investors and management teams in a range of sectors, including in recent years the retail and consumer products, tech and data, and sports and leisure sectors. Aligned to his role at RPC, James is a commentator on transactional and market issues, a panellist at industry events and roundtables, and was one of the two external lawyers asked to assist the London Market Group's Brexit Working Party. James previously sat on the Board of RPC Tyche, the insurance software business RPC recently sold to global professional services firm Aon. James was selected for The Lawyer's Hot 100 in 2014 for his transactional work and his focus on driving inclusion and diversity change for the better in the legal industry. From 2017 to 2020, James was Co-Chair of the LGBTQ+ Insurance Network (Link), that won a Queen's Award in the The Queen's 2019 Birthday Honours. James is currently Chair of the Board of Governors at the English National Ballet School.
Devi Shah
Mayer Brown
Devi Shah is co-head of Mayer Brown's Restructuring, Bankruptcy & Insolvency group in London. She focuses on all aspects of restructuring and insolvency and has a particular interest in international and cross-border insolvency and restructuring matters, as well as pensions aspects of restructurings. Devi has extensive experience in insurance insolvency and restructuring matters, including advising on provisional liquidation, schemes of arrangement (including international recognition and enforcement issues), proof issues and set-off. She also handles financial disputes and fraud related claims.
Andrew Tromans
Willkie Farr & Gallagher LLP
Andrew Tromans is a partner in the London office and a member of the Corporate & Financial Services Department. He advises insurance and financial institution clients – including life and non-life insurance companies – Lloyd's vehicles, brokers and other intermediaries on a broad range of company law matters, mergers and acquisitions, joint ventures, outsourcings and start-ups. Andrew has conducted a number of significant insurance business transfers under Part VII of FSMA 2000. His practice also includes advising on policy wordings, FSA and EU regulatory matters (including the UK regulatory handbooks and the implementation of Solvency II), capital-raisings and the establishment of new insurance vehicles. He has particular experience in the life insurance market and has also advised on a number of significant transactions in relation to businesses at Lloyd's of London.
Next Generation Partners
Junior partners with significant recognition from clients and peers in the market and key roles on multiple matters.
William Hogarth
RPC
A partner in RPC’s transactional and regulatory insurance team, William has over 15 years’ experience advising clients and investors in the life and general insurance market on a full spectrum of transactional, reinsurance, commercial and regulatory matters. William supports insurer, reinsurer, intermediary and investor clients on a range of corporate transactions and has particular expertise assisting clients with reinsurance arrangements, including legacy market transactions. His life insurance experience includes advising insurer and trustee clients on bulk annuity and other longevity risk transactions.  He also advises clients on commercial, underwriting and distribution arrangements and has significant experience guiding clients through the myriad of insurance prudential and conduct regulations, as well as Lloyd’s of London-related matters. His work highlights include: Advising insurer and legacy market reinsurer clients on numerous successful legacy reinsurance transactions, including LPT, XoL, ADC and RITC structures, and connected collateral arrangements. William has also acted for clients acquiring legacy captive insurers and transferring insurance portfolios under Part VII of FSMA. Assisting a number of MGA, insurer and reinsurer clients with the development and distribution of new and innovative insurance and reinsurance products and structures, including parametric insurance, life insurance ISAs and captive insurance structures. Advising a large European life insurer on the reinsurance arrangements linked to its issue of an innovative mortality-linked catastrophe bond designed to protect the insurer against the impact of global pandemics. Advising a large global insurer on its internal and captive group reinsurance covers and associated premium and claims allocation arrangements. Advising a number of UK and overseas insurers on various intra-group and third party reinsurance arrangements, including quota shares, adverse development covers and excess of loss reinsurance arrangements. Supporting a UK insurer client with understanding the PRA’s regulatory expectations in respect of climate change, providing an assessment of their current progress towards compliance and making recommendations for actions to take in order to meet the PRA’s climate change expectations. Acting for the management team of a new challenger broker, including advising them on a significant investment from a US private equity firm, its regulatory establishment and operational arrangements, and a large renewal rights acquisition with associated employee transfer. Advising a number of UK and international insurers on acquisitions of, investments in and sales of various MGA platforms and Lloyd’s businesses. Advising a number of life insurers in relation to bulk annuity buy-in/out transactions, including through the use of fronting arrangements and captive (re)insurers.
Benjamin Lyon
Skadden, Arps, Slate, Meagher & Flom LLP
Mr. Lyon focuses on corporate transactions in the insurance and asset management industries, including mergers & acquisitions, regulatory matters and corporate governance, as well as all other aspects of corporate law, with significant experience in acting on a wide range of public and private transactions, capital markets transactions, joint ventures and other transactions both in the UK and internationally. He regularly advises insurers, asset managers, corporates, private equity clients and investment banks.
Kirsty Maclean
Willkie Farr & Gallagher LLP
Kirsty Maclean is a partner in the London office and member of the Corporate & Financial Services Department. Kirsty advises insurance, reinsurance and other financial institution clients on a broad range of transactions and non-contentious matters. Kirsty has gained a reputation as a notable lawyer in the longevity and pension de-risking market, having advised European and US-based clients on many of the largest and highest-profile longevity transactions completed to date. Kirsty regularly advises on complex collateralised reinsurance transactions and has a particular focus on the interface between (re)insurance and the capital markets.
Leading associates
Rising stars with regular involvement in their team's key work, and recognition from peers or clients as being ones to watch.