McDermott Will & Emery LLP

McDermott Will & Emery LLP

Client Satisfaction
Region Area

Lawyers

Caitlyn Campbell

Caitlyn Campbell

Work Department

White Collar & Securities

Position

Caitlyn M. Campbell, a former US Securities & Exchange Commission (SEC) Enforcement Attorney, focuses her practice on representing clients in SEC investigations, securities class action and derivative litigation and compliance matters. Caitlyn has extensive experience in matters involving potential violations of the federal securities laws, including allegations of accounting and disclosure violations, fraud and regulatory violations by investment advisers and broker-dealers, insider trading, anti-corruption and Foreign Corrupt Practices Act (FCPA) violations and whistleblower claims. She also assists companies in developing training programs and compliance policies and procedures.

Prior to joining McDermott, Caitlyn spent eight years at the SEC, most recently as Senior Counsel to the Directors of Enforcement, assisting with the management of the Commission’s largest division, and as a member of the division’s COVID-19 Steering Committee. At the SEC, Caitlyn led all aspects of investigations involving accounting fraud, complex insider trading schemes, market abuse, market manipulation, misappropriation of investor funds, investment adviser fraud and the Immigrant Investor Program. She also worked extensively with foreign regulators, coordinating complex, global investigations.  In addition to her investigative work, Caitlyn co-chaired the committee tasked with proactively detecting accounting and disclosure fraud in the New England region and served as the liaison to the national Financial Reporting and Audit Group and the Boston FBI.

Caitlyn has conducted numerous internal investigations, including investigations for major public companies, their boards of directors and board committees.  Further, she has represented Boards, senior management teams, hedge funds and private equity firms in connection with matters before enforcement and regulatory agencies including the SEC, US Department of Justice (DOJ), and the Financial Industry Regulatory Authority (FINRA). She has also represented numerous corporations, as well as directors and officers, in securities class action and shareholder derivative litigation. More recently, Caitlyn has represented companies and officers in connection with Special Purpose Acquisition Company (SPAC)-related litigation and SEC investigations, and works diligently to track developments in this area of the law.

Caitlyn regularly speaks on topics relating to criminal and regulatory enforcement, as well as accounting fraud.

Read full biography: https://www.mwe.com/people/campbell-caitlyn-m/

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