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Paul A Leder has practised in securities enforcement, compliance and complex litigation for over 30 years. Mr Leder represents public companies, investment banks, broker-dealers, investment advisers and individuals under investigation by the US Securities and Exchange Commission (SEC), the Financial Industry Regulatory Authority, the US Department of Justice and other authorities. He helps clients navigate the special challenges created by simultaneous investigations by criminal and regulatory authorities, as well as related civil litigation. Mr Leder has led internal investigations on behalf of boards of directors or management involving the Foreign Corrupt Practices Act, accounting fraud and insider trading. He also advises clients on developing and evaluating compliance programmes on a range of issues, including insider trading and anti-corruption.
Prior to joining Miller & Chevalier, Mr Leder was the director of the SEC’s Office of International Affairs, where he led a team of over 50 professionals responsible for advancing the SEC’s interests in specific cross-border enforcement cases as well as on broader international engagements involving the SEC’s enforcement, regulatory and inspection programmes. Mr Leder spent more than a decade at the SEC, starting as a trial attorney in the Division of Enforcement, and later as a supervisor in the Office of International Affairs.
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