Partner
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Jaclyn Moyer practice focuses on securities litigation and enforcement. She has represented Big Four accounting firms, financial institutions, private equity funds, broker-dealers, hedge funds and individuals under investigation by the Securities and Exchange Commission, the Department of Justice, the Public Company Accounting Oversight Board, self-regulatory organizations, and state attorneys general in a variety of matters, including matters involving allegations of financial and accounting fraud, insider trading, disclosure improprieties, violations of the Foreign Corrupt Practices Act, and non-compliance with audit and regulatory standards. She has experience representing clients in parallel civil, regulatory, and criminal proceedings, as well as with complex commercial litigation.