Russell G Ryan
Partner rryan@kslaw.com Phone: (202) 661-7984 Fax: (202) 626-3737
Russ Ryan is a partner with King & Spalding’s Special Matters and Government Investigations group in Washington, D.C. His practice focuses primarily on SEC enforcement investigations, corporate internal investigations, Foreign Corrupt Practices Act (FCPA) compliance, and related corporate governance issues.
Mr. Ryan joined King & Spalding in February 2004 after a 10-year career in the SEC’s Division of Enforcement, including his last three years as Assistant Director of the Division. While at the SEC, he investigated, litigated, and supervised a broad range of enforcement matters involving public company accounting and financial disclosure, FCPA compliance, auditor independence, Regulation FD, insider trading, broker-dealer regulation and supervision, Internet fraud, micro-cap stock manipulation, and “prime bank” fraud. Along with other members of the Division of Enforcement, he received the SEC Chairman’s Award for Excellence in 2002.
At King & Spalding, Mr. Ryan has advised and represented numerous companies, professional service firms, and individuals in responding to SEC enforcement investigations involving accounting irregularities, public company disclosure obligations, FCPA allegations, insider trading, auction rate securities, anticompetitive market practices, stock option backdating, late trading of mutual fund shares, investment adviser issues, and broker-dealer issues. In addition, he has conducted corporate internal investigations on behalf of companies and their audit committees in response to allegations of accounting irregularities and other misconduct made by whistleblowers, regulators, and independent auditors under Section 10A of the Securities Exchange Act of 1934. Mr. Ryan also has advised companies and individual executives in connection with internal investigations being conducted by other law firms.
Before joining the SEC in 1994, Mr. Ryan was a corporate and securities litigator with Willkie Farr & Gallagher, where he represented companies, broker-dealers, accounting firms, and individuals in private securities litigation, SEC enforcement matters, and other proceedings in both federal and state courts. He began his legal career as law clerk to the Honorable Henry Bramwell of the United States District Court for the Eastern District of New York.
Mr. Ryan earned his undergraduate degree, summa cum laude, at Boston College, and his law degree at St. John’s University School of Law, where he was Executive Articles Editor of the St. John’s Law Review. Mr. Ryan is an Adjunct Professor at George Mason University School of Law, where he has taught an upper-level course on securities enforcement issues. He frequently writes and speaks about topics relevant to securities regulation, the SEC enforcement process, and the Public Company Accounting Oversight Board (“PCAOB”) created by the Sarbanes-Oxley Act of 2002. One of his articles earned him the 2005 Burton Award for Legal Achievement. Mr. Ryan has appeared as a guest on CNBC’s Kudlow & Company show, and his insights on SEC enforcement developments have been quoted in a wide range of news and business publications, including The Wall Street Journal, The Los Angeles Times, The Boston Globe, The Atlanta Journal-Constitution, The San Diego Union-Tribune, Bloomberg News, Business Week, CFO Magazine, Compliance Week, Corporate Secretary, Directorship, and many others. He is admitted to practice in the District of Columbia, the State of New York, and numerous federal courts.
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Washington, D.C. 1700 Pennsylvania Avenue, NW - Suite 200 Washington, DC 20006-4707 Phone: (202) 661-7984