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Amanda Gold
Amanda Gold
Amanda Gold focuses her practice on executive compensation matters including designing, drafting and negotiating severance, change in control and executive employment agreements, preparing related disclosures for securities filings and managing all executive compensation and employee benefits aspects of public and private mergers and acquisitions. She also frequently designs and provides practical advice on the administration of equity incentive plans and complex awards, thereunder, for private and public clients.
Andrew Wark
Andrew Wark
Andrew M. Wark focuses his practice on public and private mergers and acquisitions, shareholder activism defense and general corporate matters. Mr. Wark’s clients have included AXA, Barrick Gold, Benchmark Electronics, CardWorks, Convey Health Solutions, Corteva, Cox Enterprises, Crown Castle, Eurazeo, Fortress Transportation & Infrastructure Investors, FS Investments, GuideWell, IBM, Just Eat Takeaway.com, Olin, Peabody Energy, RELX Group, Sensata Technologies, Viatris and ViewRay.
Antony Ryan
Antony Ryan
Antony L. Ryan handles a wide variety of litigation matters, focusing on securities litigation, accountants’ liability, M&A litigation and antitrust law. He regularly represents clients in federal and state courts around the country. Praised by his clients as “analytically exceptional,” “extremely intellectual, very smart and strategic,” and “a great leader and a consummate professional,” Mr. Ryan frequently leads his clients’ most challenging and business‑critical litigation. (Chambers USA)
Chris Medley
Chris Medley
Chris advises bank and fund clients on cross-border debt financings, refinancings and restructurings. He has a particular focus on sponsor-backed leveraged acquisition finance and routinely works on the largest and most complex sponsor-backed financing structures in the European leverage finance market, including term loan B financings, bank and bond structures, unitranche financings and post-IPO financings. Chris frequently works with, and is well known to, leading underwriting banks on underwritten term loan B financings and is likewise well known to direct lenders on unitranche financings. Chris was previously seconded to the leveraged finance and high-yield teams of JP Morgan and Citibank, which gives him a deep understanding of the internal workings of origination, credit and execution teams, allowing him to provide practical and tailored advice to bank, fund and sponsor clients. He also spent two years on secondment to the firm’s Madrid office and speaks Spanish.
Christine Varney
Christine Varney
Christine A. Varney is Chair of Cravath's Antitrust Practice. Ms. Varney has been widely recognized as one of the leading antitrust lawyers in the United States in both private practice and in government service, and she is the only person to have served as both the U.S. Assistant Attorney General for Antitrust and as a Commissioner of the Federal Trade Commission. Ms. Varney formulates global antitrust strategy for clients in connection with joint ventures, mergers, acquisitions, dispositions and other business transactions, including advising on business conduct or potential investments to ensure compliance with antitrust laws, securing antitrust regulatory approvals, and handling internal or governmental investigations into anticompetitive behavior. Her clients span diverse industries, including cable, financial services, manufacturing, pharmaceuticals, retail, transportation, technology and telecommunications.
Craig Arcella
Craig Arcella
Craig F. Arcella is Co-Head of Cravath's Finance Practice. Mr. Arcella represents financial institutions and corporate clients in a wide variety of matters, including investment grade, high‑yield and convertible bond offerings; liability management transactions; initial public offerings and other equity financings; syndicated loan and other leveraged finance transactions; and mergers and acquisitions. He also regularly advises companies with respect to governance, public disclosure and other corporate matters.
D Scott Bennett
D Scott Bennett
Scott Bennett focuses his practice on capital markets and other financing transactions, mergers and acquisitions, board advisory matters and general corporate matters. Mr. Bennett advises clients across a broad range of industries encompassing traditional areas and emerging technologies. He has notable experience counseling venture capital‑backed companies and investors in the technology, fintech, digital assets and renewables spaces. His practice also includes numerous clients in the shipping, transportation, energy and pharmaceutical sectors.
Daniel Cerqueira
Daniel Cerqueira
Daniel J. Cerqueira focuses his practice on mergers and acquisitions, corporate governance, activist defense and general corporate matters. Mr. Cerqueira’s clients have included AerCap, Altra, AmerisourceBergen, Ashland, Biogen, Blue Current, Brookfield Asset Management, Buckeye Partners, Cincinnati Bell, Disney, DRI Capital, FS Investments, GreenSky, Hasbro, Hertz, Hibu Group, IBM, Illumina, Occidental Petroleum, Pinnacle Foods, RedHill Biopharma, SMBC Aviation Capital, Southwest Gas, Starwood Hotels and Univision.
Daniel Slifkin
Daniel Slifkin
Over the course of 34 years at Cravath, Daniel Slifkin has tried numerous cases in courts nationwide, as well as in domestic and international arbitrations. He is a fellow of the American College of Trial Lawyers. “A real trial powerhouse” (Benchmark Litigation), Mr. Slifkin is among the few litigators to have taken a securities fraud class action through jury verdict. In addition to securities and derivative matters, he has substantial experience in antitrust matters, bankruptcy proceedings and general commercial litigation. Mr. Slifkin also represents clients in regulatory investigations by the Department of Justice (DOJ), Securities and Exchange Commission (SEC) and European Union. In particular, he has considerable knowledge of the financial services industry, having represented numerous of the world’s leading financial institutions in a wide range of matters.
David Marriott
David R. Marriott focuses his practice on litigating complex disputes, regularly handling his clients’ most critical cases. The American Lawyer has named him a “Litigator of the Year” and repeatedly recognized him as “Litigator of the Week.” Among other accolades, he was named a “Litigation Trailblazer” by The National Law Journal and “Trial Lawyer of the Year” by Benchmark Litigation. He is a fellow of the American College of Trial Lawyers and the International Academy of Trial Lawyers. Praised as “the go-to lawyer for high-stakes litigation” and “one of the best trial attorneys in the US,” Mr. Marriott has tried numerous state and federal cases, handled more than two dozen appeals and been involved in various forms of alternative dispute resolution. (IAM Patent 1000) Named a “Competition/Antitrust MVP” by Law360, he has taken a leading role in precedent-setting antitrust disputes, in addition to his significant experience in intellectual property, general commercial and securities matters. The Legal 500 US has repeatedly recognized Mr. Marriott as a “Leading Trial Lawyer,” noting his “versatility and trial experience” and regular representation of some of “the firm’s most high profile clients.”
David Stuart
David Stuart
David M. Stuart represents and advises public and private companies, executives and board members in their most sensitive and complex civil, criminal and internal investigations and related securities and derivative litigation. His matters regularly involve allegations of accounting fraud, foreign corruption, insider trading, market manipulation, money laundering, trade sanctions, illicit cyber activity and sexual harassment. Mr. Stuart has also conducted comprehensive reviews of corporate compliance programs and advised organizations on implementation of best practices in regulatory compliance. He participates in the Firm’s efforts related to blockchain and financial technology (FinTech).
David Kappos
David Kappos
David J. Kappos is Co-Chair of Cravath's Intellectual Property Practice. He is widely recognized as one of the world’s foremost leaders in the field of intellectual property, including intellectual property management and strategy, the development of global intellectual property norms, laws and practices as well as commercialization and enforcement of innovation‑based assets. Mr. Kappos supports Cravath’s clients with a wide range of their most complex intellectual property issues, including those pertaining to blockchain, cryptoassets and fintech, as well as cybersecurity and data privacy.
Eric Hilfers
Eric Hilfers
Eric W. Hilfers is Head of Cravath’s Executive Compensation and Benefits Department.  Mr. Hilfers’ practice focuses on executive compensation and employee benefit matters faced by the Firm’s clients, principally in connection with mergers and acquisitions and other business transactions.  Clients value his “expansive knowledge” and “comprehensive understanding of the business and legal challenges and opportunities” in compensation and benefits matters, leading one to affirm, “he’s not just a lawyer—I view him more as an adviser.”
Evan Norris
Evan Norris
Evan Mehran Norris, a former federal prosecutor, focuses his practice on advising U.S. and multinational companies, boards of directors and senior executives with respect to government and internal investigations, criminal defense, regulatory compliance and related civil litigation. A member of Cravath's Investigations and Regulatory Enforcement Practice and Data Security and Privacy Practice, Mr. Norris advises clients in a broad range of matters from cross‑border investigations to cyber incident response.
Evan Chesler
Evan Chesler
Evan R. Chesler is widely recognized as one of the country’s leading litigators. He has broad experience in both trial and appellate courts, and has tried numerous cases in federal and state courts all over the country. He was Cravath’s Presiding Partner from 2007 through 2012, and Chairman from 2013 through 2021, the first person to be given that title in the Firm’s history. Mr. Chesler handles a wide variety of litigation, including securities, shareholder derivative, intellectual property, general commercial, environmental, ERISA, contractual disputes and antitrust. His practice also includes the representation of clients in government and internal investigations. Mr. Chesler has represented companies and their management in virtually every industry including technology, media, pharmaceuticals, manufacturing and financial services.
G.J. Ligelis Jr.
G.J. Ligelis Jr.
G.J. Ligelis Jr. is a partner in Cravath’s Corporate Department. He advises on public and private mergers and acquisitions, corporate governance and general corporate matters. His M&A practice has a particular focus on cross‑border transactions. Mr. Ligelis’s clients have included AerCap, Anheuser‑Busch InBev, Aramex, Biogen, Buckeye Partners, Casa Cuervo, INEOS, Just Eat Takeaway.com, National Grid, Novartis, Synthomer, Texas Capital Bank, Unilever, Viatris and WiseTech Global.
Gary Bornstein
Gary Bornstein
Gary A. Bornstein is Co-Head of Cravath's Litigation Department. He handles a wide range of high‑stakes commercial disputes, with particular focus on antitrust, M&A and securities litigation. Mr. Bornstein also represents clients in investigations and frequently provides antitrust, fiduciary duty and other transaction-related advice. Consistently recognized as “one of the best lawyers in this space,” and “simply stellar” (The Legal 500 US), Mr. Bornstein has handled some of the country’s most challenging and transformative M&A litigation, often involving novel and complex issues of law.
John Buretta
John Buretta
John D. Buretta is Chair of Cravath's Investigations and Regulatory Enforcement Practice and a former senior U.S. Department of Justice official. Named Global Investigations Review’s “Investigations Professional of the Year,” Mr. Buretta represents corporate and individual clients in their most high‑stakes and sensitive internal investigations, regulatory enforcement and compliance matters, shareholder demands and civil litigation. Described by clients as “an absolute star” who “has the ear of both the US authorities and client boards,” (The Legal 500 US), Mr. Buretta represents global companies, boards of directors, audit committees, individual board members, company owners, senior management, in-house counsels, law firms, and former U.S. and foreign government officials. His work spans industries, including the banking, private investment, energy, publishing, communications, technology, food, consumer, mining, aircraft, automotive, shipping, healthcare and pharmaceutical sectors.
Jonathan Katz
Jonathan Katz
Jonathan J. Katz is a partner in Cravath’s Executive Compensation and Benefits Department. He advises clients on a wide range of executive compensation and human resource‑related matters. His transactional practice involves advising on mergers and acquisitions, divestitures, spin‑offs, joint ventures and private equity transactions. He also regularly counsels both corporate and individual clients on the design, negotiation and implementation of employment agreements and incentive compensation programs. Additionally, Mr. Katz handles securities law compliance matters relating to executive compensation, including new and evolving regulatory matters, such as clawback rules, pay vs. performance disclosure and related matters. Mr. Katz has represented numerous founders and high‑profile executives in compensation‑related matters.
Joseph Zavaglia
Joseph Zavaglia
Joseph D. Zavaglia is Cravath's Head of Leveraged Finance North America. He is a generalist corporate lawyer with more than 20 years of experience advising public and private companies and financial institutions across multiple disciplines, including IPOs and other capital markets transactions; leveraged loans (broadly syndicated and direct) and other complex financing arrangements; activism defense (shareholder and debtholder) and other liability management transactions; corporate governance and other Board of Director matters; public company reporting and other SEC matters; and joint ventures, acquisitions and other M&A transactions.
Karin DeMasi
Karin A. DeMasi is Managing Partner of Cravath's Litigation Department. Commended as an “excellent litigator” with “strong court presence,” she focuses her practice on complex litigation, including class actions, in the areas of antitrust, securities, derivative, ERISA and general commercial disputes. (The Legal 500 US) Although many of her cases have been successfully resolved for her clients on pre‑trial motions, Ms. DeMasi’s experience also includes numerous jury and bench trials, as well as domestic and international arbitrations. She has represented a wide range of companies, including boards of directors and individuals, across industries.
Keith Hummel
Keith Hummel
Keith R. Hummel is a member of Cravath's Litigation Department and Co‑Chair of Cravath's Intellectual Property Practice. He has extensive experience litigating complex commercial, intellectual property and antitrust disputes for plaintiffs and defendants in diverse fields, including biotechnology, pharmaceuticals, medical devices, home automation, computer hardware and software, telecommunications, coating systems, and wine and spirits. Praised as “ingenious, resourceful, resolute and unflagging—there is nothing he cannot do when it comes to complex legal conflict,” Mr. Hummel is consistently recognized as one of the country’s leading practitioners in the intellectual property arena, particularly in critical multi‑jurisdictional patent disputes. (IAM Patent)
Kevin Orsini
Kevin Orsini
Kevin J. Orsini is Co-Head of Cravath's Litigation Department. He regularly plays a central role in major corporate battles that redefine the law. With substantial first‑chair trial experience, he is a fellow of the American College of Trial Lawyers and has been named Benchmark Litigation’s “Trial Lawyer of the Year” and “General Commercial Litigator of the Year.” Mr. Orsini has been recognized as an “established, all‑purpose trial powerhouse” who “attends to a remarkably diverse practice that touches on commercial, antitrust and the one‑of‑a‑kind phenomenon of ‘event‑driven’ litigation, often of the most complex, contentious and highest‑stakes variety.” (Benchmark Litigation) His broad litigation experience includes antitrust, mass torts, mergers and acquisitions, securities and other commercial disputes.
Lawrence Verhelst
Lawrence Verhelst
Lawrence J. Verhelst serves as European counsel in Cravath's Corporate Department. He focuses his practice on representing corporate and sovereign issuers and financial institutions in U.S. and international finance and capital markets transactions, including high‑yield and investment grade debt offerings, equity offerings and liability management. Mr. Verhelst also advises clients in cross‑border mergers and acquisitions, as well as public disclosure, corporate governance and other general corporate matters.
Margaret Segall
Margaret Segall
Maggie Segall is a member of Cravath's Antitrust Practice. Her practice focuses on transactional matters, antitrust regulatory approval, government investigations and general antitrust counseling. She has advised a wide variety of clients in diverse industries, including aerospace and aviation, pharmaceuticals, life sciences, consumer products, media, manufacturing and technology. Named “Dealmaker of the Year” by Global Competition Review (GCR) in 2025, Ms. Segall has represented clients on antitrust issues in connection with numerous proposed or completed deals. 
Mark Greene
Mark Greene
Mark I. Greene is the Head of Cravath’s Corporate Department and the Leader of the Firm’s International Practice. His practice focuses on mergers and acquisitions, corporate governance and securities matters, including advising on cross-border and domestic transactions, private equity deals, complex restructuring transactions, proxy fights, takeover defense and hedge fund activism. According to clients and the market, Mr. Greene has a “mighty reputation in cross-border deals” and “outstanding and deep experience in M&A.” He “treats his clients as priority number one” and “takes time to probe and understand his clients’ objectives and is very practical in the legal advice he offers.”
Matthew Bobby
Matthew Bobby
Matthew J. Bobby is a partner in Cravath's Executive Compensation and Benefits Department. Mr. Bobby focuses his practice on executive compensation and employee benefit aspects of complex mergers and acquisitions, spin‑offs, initial public offerings and other business transactions. He also regularly advises clients on the design, negotiation and implementation of incentive compensation arrangements and the negotiation of executive employment and separation agreements, as well as on SEC disclosure regarding such arrangements.
Nicholas Dorsey
Nicholas Dorsey
Nicholas A. Dorsey focuses his practice on representing corporate issuers and borrowers, and financial institutions, lenders and other parties, in public and private offerings of securities, loan transactions and other financing transactions. He also represents companies in mergers and acquisitions and regularly advises clients in connection with public disclosure and corporate matters. He is Co-Head of the Venture Capital & Growth Equity Practice, where he dedicates significant time to providing commercial and strategic advice to startup, early‑stage and founder‑led companies and investors in such companies. Clients regularly seek his counsel for the practical, commercial advice he offers with respect to their most challenging matters.
Rachel Skaistis
Rachel Skaistis
Rachel G. Skaistis focuses her practice on advising boards of directors and management in connection with government and internal investigations, shareholder demands, derivative actions and accounting restatements. Ms. Skaistis represents clients in matters involving the Foreign Corrupt Practices Act (FCPA), the False Claims Act, insider trading, accounting and securities fraud and governance issues. She also handles a wide variety of general litigation, arbitration and appellate matters, including in the areas of employment, securities, bankruptcy and general commercial disputes.
Richard Stark
Richard Stark
Richard J. Stark is a partner in Cravath’s Litigation Department. He is widely recognized as a leading litigator in complex business litigation, as well as a trusted advisor to his clients. Mr. Stark has particular expertise in antitrust, intellectual property and securities litigation, and has deep litigation experience in a number of technology sectors, including software, computer systems and microelectronics, as well as in biotechnology, life sciences, and banking. Along with his decades of legal experience, Mr. Stark has a graduate degree in Computer Science (machine learning) and is a registered patent attorney. He has advised corporate leaders on complex litigation strategy, antitrust, intellectual property, standard‑setting, contract litigation and deal litigation. His broad litigation practice encompasses multifaceted and multijurisdictional business disputes in a wide range of venues as well as arbitration.
Robert Townsend III
Robert Townsend III
Robert I. Townsend, III is Co-Chair of Cravath's Global Mergers and Acquisitions Practice. His practice focuses primarily on all types of M&A transactions, corporate governance matters and activist defense. Mr. Townsend’s clients have included ADT, altafiber, AmerisourceBergen, Anheuser‑Busch InBev, Aon, Atlas Air, Brink’s, Brunswick, Cable One, Canadian National Railway, City Brewing, Conduent, Crown Castle, DiaSorin, Frontier Communications, GreenSky, J.D. Power, Johnson & Johnson, Light & Wonder, MacAndrews & Forbes, Martin Marietta, Nestlé, Olin, Oshkosh, OUTFRONT Media, Pinnacle Foods, Quest Diagnostics, Stanley Black & Decker, Univision, US Foods and Valvoline.
Roberto Bruno
Roberto Bruno
Roberto Bruno focuses his practice on cross‑border, sophisticated and high‑profile debt (including high‑yield) and equity capital markets transactions, whether SEC‑registered or unregistered, across a broad range of industries. Mr. Bruno also has significant experience with cross‑border public and private merger and acquisition transactions as well as private equity transactions. In addition, he provides clients with tailored and strategic U.S. law advice on a broad range of legal issues, including available alternative structures for potential securities and M&A transactions, compliance with U.S. reporting obligations and the U.S. tender offer rules. Mr. Bruno works for a diverse client base on matters in Europe (primarily Italy), the United States and emerging markets.
Rohan Saha
Rohan Saha
Rohan has a wide range of experience advising banks and credit funds across the credit spectrum on a number of products with primary focus on financial sponsor backed cross-border debt financings. He has worked on various financing structures and products, and is particularly well versed with incurrence based term loan B financings, unitranche / direct lending structures, super-senior revolving credit facilities, bank/bond structures and junior/subordinated credit products. He has advised creditors on some of the largest and most complex European leveraged finance transactions in the past few years. Rohan was seconded to the leveraged finance team at Credit Suisse in 2018 and is able to use the experience gained on the secondment to provide practical and tailored advice to bank and fund clients. Rohan is one of the diversity and inclusion champions in the banking department in London and is focused on promoting under-represented diverse talent within the firm. Rohan joined Linklaters in 2011 and joined the banking team in 2013.
Sasha Rosenthal-Larrea
Sasha Rosenthal-Larrea
Sasha Rosenthal-Larrea focuses her practice on advising clients on the most significant intellectual property issues, including with respect to complex licensing and collaborations, patent and copyright licensing strategy, software and artificial intelligence. She also handles the intellectual property, data privacy and broader technology aspects of major corporate transactions. Additionally, she regularly advises public company clients with respect to governance, public disclosure and other corporate matters.
Sharonmoyee Goswami
Sharonmoyee Goswami
Sharonmoyee Goswami focuses her practice on intellectual property, antitrust and other litigation involving complex scientific issues. She has extensive experience representing companies and individuals in all stages of litigation, from pre‑complaint investigation through appeal, and routinely practices before the Federal Circuit and Patent Trial and Appeal Board (PTAB). Ms. Goswami draws upon her expertise to help companies address legal issues that arise during product development and commercialization, including successfully bringing lifesaving therapies to patients. She regularly leads patent infringement litigation across various industries—including medical devices, pharmaceuticals, technology and financial services—and has significant experience in intellectual property strategy and management.
Stephen Burns
Stephen Burns
Stephen L. Burns is a partner in Cravath’s Corporate Department and serves as Co-Head of the Firm’s Finance Practice. His practice focuses on representing companies and investment banking firms in connection with public and private offerings of securities, as well as on general corporate matters, including corporate governance and M&A matters. Mr. Burns was named Best Lawyers’ 2014 New York City “Lawyer of the Year” for Securities/Capital Markets Law. In 2019, he was named a Capital Markets Trailblazer by The National Law Journal.
Timothy Cameron
Timothy Cameron
Praised by clients as a “fearless leader” with a “great courtroom presence,” Tim Cameron frequently handles his clients’ most challenging and business‑critical disputes in litigation throughout the U.S., as well as in arbitration tribunals domestically and internationally. (Chambers USA) Mr. Cameron is an experienced trial lawyer, with additional extensive experience handling antitrust, securities, shareholder derivative, M&A, and product liability claims, as well as regulatory matters. Mr. Cameron also has deep experience in a wide variety of complex commercial matters, with a focus on complicated cross‑border issues particularly for non-U.S. clients.
William Fogg
William Fogg
William V. Fogg is Co‑Head of Cravath's Capital Markets Practice for North America. His practice focuses on representing companies and major investment banks in public and private capital markets transactions, as well as on corporate governance, general corporate and disclosure matters. The Financial Times featured Mr. Fogg’s work on behalf of Cincinnati Bell in converting its data center business into a “first-of-its-kind” REIT and its subsequent carve-out IPO of CyrusOne as one of the most innovative deals of the year in its U.S. Innovative Lawyers 2013 special report.