Douglas R. Hirsch's profile

    Douglas R. Hirsch

    Top rated Business Litigation attorney in New York, New York

    Education Qualification:

    Hofstra University School of Law

    Practice Areas:

    Business litigation,

    Securities & corporate finance,

    Securities litigation

    551 5th Avenue, 21st FloorNew York, New York, 10176

    First Admitted: 1991

    Professional Webpage: http://www.sglawyers.com/attorney/douglas-r-hirsch/

    Bar/Professional Activity:
    • United States District Courts for the Southern District of New York
    • New Jersey
    • United States Court of Appeals for the D.C. Circuit
    • United States District Courts for the District of New Jersey
    • New York
    • United States Court of Appeals for the Second Circuit
    • United States District Courts for the Eastern District of New York
    • Association of the Bar of the City of New York, Member
    • United States Court of Appeals for the First Circuit
    Pro bono/Community Service:
    • Hedge Fund Association, Member, 2012
    • Hedge Fund Association, Member, 2011
    Honors/Awards:
    • Top Attorneys in Metro New York, Selected by Peer Recognition and Professional Achievement, New York Times 2015
    • New York Metro Super Lawyer, New York Metro Super Lawyer Magazine 2013 – 2018
    Educational Background:
    • Union College, Bachelor of Arts, 1987
    • Hofstra University School of Law (J.D.; member of the Hofstra University Law Review), 1990
    Scholarly Lectures/Writings:
    • Hedge Fund Conference Forum, NY Helmsley Hotel, 2004
    • Investors are Experiencing “Hotel California” Syndrome, December 2007
    • “The SEC’s Approach to the Regulation of Hedge Funds and Private Equity Funds,”  Cross-border Handbooks, PLC 2006-2007
    • “Which Offshore Advisors Must Register,” April 19, 2005
    • Euromoney Compliance Review Handbook
    • “Arbitration:Be Careful What You Wish For”
    • Cayman Director Liability in the U.S., June 7, 2016
    • The SEC Loses Four High-Profile Trials in a Two-Month Span:  Circumstances and Lessons, May 14, 2014
    • SEC Loses Four More High-Profile Trials Where it Relied on Circumstantial Evidence and Questionable Materiality Arguments to Prove Insider Trading and Fraud, February 10, 2014
    • Hedge Fund Litigation Trends, September 2009
    • Court Invokes Hedge Fund Anti-Fraud Rule for the First Time, February 2009
    • SEC Loses Claims Regarding PIPE Transaction, April 2008
    Firm News (Newsletters):
    • S&G Investment Manager Alert - March 2016
    • Sadis & Goldberg Investment Management Alert
    • S&G Investment Manager Alert - 2013
    • S&G Investment Manager Alert - August 2015
    • S&G Investment Manager Alert - Jan 2014
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