Practice Areas - Antitrust and Competition
- International Cartels
- U.S. Criminal Investigations and Prosecutions
- White Collar Criminal Defense
- False Claims Act/Qui Tam
- Foreign Corrupt Practices Act
- Government Investigations
| - SEC Enforcement
- Crisis Management
- Financial Crisis Advisory and Litigation
- Litigation/Trial Practice
- Investment Funds
- Internal Corporate Investigations
- Regulatory Compliance
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| Contact Info | Telephone: 214-651-5688 Fax: 214-200-0376 http://www.haynesboone.com/ron_breaux/
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| University | Louisiana State University, B.S., 1986 |
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| Law School | Southern Methodist University, J.D., 1989 |
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| Admitted | 1989, Texas and U.S. District Court, Northern District of Texas; 1990, U.S. Court of Appeals, Fifth Circuit; 1991, U.S. District Court, Eastern District of Texas; 1995, U.S. District Court, Southern District of Texas; 1996, U.S. District Court, Western District of Texas; U.S. Supreme Court |
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| Born | Gainesville, Texas |
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| ISLN | 908826856 |
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| Transactions | Internal investigation and remediation of a data security breach at a Fortune 200 transportation company; civil prosecution of entity responsible for the security breach; Tried to favorable multi-million dollar verdict antitrust and RICO action for national heath care provider; Successful defense of corporate executives in numerous civil and criminal international cartel litigation; Successful defense of hedge fund and executives in an insider trading investigation by the SEC; Defense of CEO of public company in stock options backdating lawsuit by the SEC. |
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Documents by this lawyer on Martindale.com | |
SEC Implements Whistleblower Bounty Program and Protections: Implications for CompaniesKatherine Smith Addleman,Michael M. Boone,Ronald W. Breaux,Michael J. Halloran,Gregory R. Samuel,Janice V. Sharry, June 7, 2011 The Securities and Exchange Commission adopted on May 25, 2011, final rules to implement the Section 21F of the Securities Exchange Act of 1934 entitled “Securities Whistleblower Incentives and Protection.” The new rules have significant implications for public companies and securities...
Supreme Court Holds FOIA Responses Trigger FCA Public Disclosure BarStacy L. Brainin,Ronald W. Breaux,Ben Johnson,Jeremy D. Kernodle,Bill Morrison,Sarah Teachout, May 25, 2011 The Supreme Court recently held that a federal agency’s response to a Freedom of Information Act (FOIA) request could bar a later False Claims Act case based on the information disclosed. In Schindler Elevator Corp. v. United States ex rel. Kirk, 563 U.S. (2011), the Court held that a...
SEC Announces First-Ever Deferred Prosecution AgreementRonald W. Breaux,Timothy Newman, May 23, 2011 The Securities and Exchange Commission has reached its first-ever deferred prosecution agreement (“DPA”) with Tenaris, S.A., a global supplier of steel pipe products to the oil and gas industry. Tenaris disclosed to the Commission that its employees had engaged in conduct that...
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