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Ropes & Gray LLP

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Ropes & Gray LLP 
Size of Organization: 700
Web Site: http://www.ropesgray.com

Telephone: 617-951-7000
Fax: 617-951-7050



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#48 in weekly profile views out of 202,885 total law firms Overall

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Civil Trial PracticeGeneral Practice
Tax Law
 
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Martindale-Hubbell has augmented a firm's provided information with third-party sourced data to present a more comprehensive overview of the firm's expertise:
U.S. Federal Litigation Activity
Source: U.S. Federal Civil District Court Databases. Powered by LexisNexis atVantage

Highest number of cases by Ropes & Gray LLP:
Intellectual Property (57 cases in past two years)
Transactional Activity
Source: FactSet Research Systems, Inc. Powered by LexisNexis atVantage

Total number of Mergers & Aquisitions by Ropes & Gray LLP:
27 (in past two years)
U.S. Patent Activity
Source: U.S. Patent Trade Office. Powered by LexisNexis atVantage

Total number of U.S. granted patents by Ropes & Gray LLP:
530 (in past two years)
Peer Review Ratings

Total number of Peer Review Rated lawyers of Ropes & Gray LLP: 144
Client Review

Total number of Client Reviews for Ropes & Gray LLP: 2


Articles by Ropes & Gray LLP on Martindale.com


Bank Custodian Pays Penalty for Customer's Failure to Disclose Excessive Mutual Fund Sales Fees
October 28, 2009
In a settlement reached with the SEC, Regions Bank (Regions) agreed to pay a fine in a case alleging that Region's customer, U.S. Pension Trust Corp. and U.S. College Trust Corp. (collectively "USPT"), defrauded approximately 14,000 investors by charging excessive, undisclosed commissions...

Mass. AG's Office Increases Oversight of Executive Compensation at the Commonwealth's Charities
Peter C. Erichsen, Kendi E. Ozmon, Adelbert L. Spitzer, October 28, 2009
The Massachusetts Attorney General's office recently announced that it is "increasing its oversight of executive and director/trustee compensation practices" at the Commonwealth's "larger and more significant public charities." While "[i]nitially, the focus will be on a...

SEC Enforcement Action under Regulation S-P for Data Intrusion
October 28, 2009
The Securities and Exchange Commission (SEC) recently took enforcement action against a broker-dealer/registered investment adviser (the Firm) for violations of Rule 30(a) of Regulation S-P (the Safeguards Rule), due to the Firm's failure to protect customer data from an intruder. The Safeguards...




 

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