+1-213-892-4550 jmarks@milbank.com [Add vCard to Outlook]
Mr. Jerry Marks is a partner in the Litigation Department of Milbank, Tweed, Hadley & McCloy LLP and head of the Los Angeles Litigation Practice. Mr. Marks has extensive experience representing issuers, directors and officers, investment banks, and accounting firms in securities litigation, corporate governance matters, mergers and acquisition litigation, internal investigations, and enforcement proceedings before the SEC. He has appeared in federal and state trial and appellate courts in California and throughout the country. Mr. Marks’s matters have included: Enron Securities Litigation Xerox SEC Investigation and Securities Litigation Tenet Healthcare SEC Investigation Oxford Health Plans SEC Investigation FPA Medical Management Securities Litigation and SEC Investigation Calpine Securities Litigation HPL Technologies SEC Investigation Lantronix Securities Litigation DDi Securities Litigation PurchasePro Securities Litigation REMEC Securities Litigation ARCO/BP Amoco M&A Litigation Watkins-Johnson M&A Litigation PS Group M&A Litigation Mr. Marks has handled matters for numerous financial institutions, including: Credit Suisse Securities, Merrill Lynch, Bank of America Securities, JPMorgan Chase, Deutsche Bank, DLJ, and Cowen and Company. He also has represented large companies and their directors and officers in securities class action matters, including ARCO, Entropin, REMEC, and HPL Technologies. Another part of Mr. Marks’s practice has been the representation of accounting firms in securities litigation and SEC enforcement proceedings, including Deloitte & Touche, PricewaterhouseCoopers, KPMG, and KPMG-UK. Mr. Marks is a graduate of the University of Iowa where he received his B.B.A., in 1984 and J.D., Order of the Coif, in 1987. Mr. Marks is a former law clerk to the Honorable Pamela Ann Rymer of the U.S. Court of Appeals for the Ninth Circuit. He is admitted to the California bar; the U.S. District Courts for the Central and Southern Districts of California; the Sixth, Ninth, and Eleventh Circuit Courts of Appeals; and the U.S. Supreme Court.
Mr. Jerry Marks is a partner in the Litigation Department of Milbank, Tweed, Hadley & McCloy LLP and head of the Los Angeles Litigation Practice.
Mr. Marks has extensive experience representing issuers, directors and officers, investment banks, and accounting firms in securities litigation, corporate governance matters, mergers and acquisition litigation, internal investigations, and enforcement proceedings before the SEC. He has appeared in federal and state trial and appellate courts in California and throughout the country. Mr. Marks’s matters have included:
Enron Securities Litigation
Xerox SEC Investigation and Securities Litigation
Tenet Healthcare SEC Investigation
Oxford Health Plans SEC Investigation
FPA Medical Management Securities Litigation and SEC Investigation
Calpine Securities Litigation
HPL Technologies SEC Investigation
Lantronix Securities Litigation
DDi Securities Litigation
PurchasePro Securities Litigation
REMEC Securities Litigation
ARCO/BP Amoco M&A Litigation
Watkins-Johnson M&A Litigation
PS Group M&A Litigation
Mr. Marks has handled matters for numerous financial institutions, including: Credit Suisse Securities, Merrill Lynch, Bank of America Securities, JPMorgan Chase, Deutsche Bank, DLJ, and Cowen and Company. He also has represented large companies and their directors and officers in securities class action matters, including ARCO, Entropin, REMEC, and HPL Technologies. Another part of Mr. Marks’s practice has been the representation of accounting firms in securities litigation and SEC enforcement proceedings, including Deloitte & Touche, PricewaterhouseCoopers, KPMG, and KPMG-UK.
Mr. Marks is a graduate of the University of Iowa where he received his B.B.A., in 1984 and J.D., Order of the Coif, in 1987. Mr. Marks is a former law clerk to the Honorable Pamela Ann Rymer of the U.S. Court of Appeals for the Ninth Circuit. He is admitted to the California bar; the U.S. District Courts for the Central and Southern Districts of California; the Sixth, Ninth, and Eleventh Circuit Courts of Appeals; and the U.S. Supreme Court.
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Client Alert Ninth Circuit Applies California's Equitable Tolling Doctrine to Revive a Securities Class Action Filed More Than Eight Years After the Causes of Action Arose News/Press ReleasesLegal 500 Recognizes Milbank Attorneys and Practices as Leaders in Their Fields Leading Securities Litigator Jerry L. Marks Joins Milbank
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