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Practice Area
- Business Law
Additional Practice Areas
- General Civil
- Litigation
Jurisdictions Admitted to Practice
- Pennsylvania
- Washington
- Washington, D.C.
Languages
- French
Professional Experience
- Partner
- Ropes & Gray
- Current
- Current
- Philip has represented and advised individual, corporate and board committee clients in connection with many of the most significant securities matters in the last decade, including publicly-disclosed government investigations and litigation involving Livent, Rite Aid, Enron, Adelphia, America Online, Global Crossing, Bank One, BISYS, UBS and Morgan Stanley, among others, appearing before U.S. and international securities regulators on their behalf. He has also represented a variety of mutual funds, fund boards, board committees and investment advisers involved in high-profile government investigations and actions regarding mutual fund market timing and other investment management matters. Earlier in his career, Philip served as a staff attorney and senior counsel with the U.S. Securities and Exchange Commission's Division of Enforcement, where he led a number of high-profile and other sensitive investigations, including financial fraud, investment management, market manipulation and insider trading matters. He was previously an analyst and associate with Morgan Stanley Company in New York. Since 1999, Philip has also served as an Adjunct Professor of Law at Georgetown University, and has published and taught on financial reporting and accounting, corporate governance, crisis management, securities regulation and SEC enforcement matters. He is a frequent public speaker on these topics as well.
Education
- Columbia Law School
- J.D.
- Columbia College
- B.A.
Websites & Blogs
- Website
- Website
Contact & Map