Brooke Conner at Vedder focuses her practice on white-collar criminal defense, government investigations, and internal investigations. She has extensive experience representing clients in parallel investigations by the U.S. Department of Justice and the U.S. Securities and Exchange Commission involving matters such as securities fraud and insider trading.
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(312) 609 7529
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Accolades

Chicago Elite

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Position

Shareholder

Career

Brooke defends clients in connection with investigations, litigation and administrative proceedings conducted by the Securities and Exchange Commission (SEC), U.S. Attorney’s Office (DOJ), Financial Industry Regulatory Authority (FINRA) and other federal and state agencies.

Guiding clients through challenging, high-stakes matters threatening financial and reputational risks and business disruption, she achieves optimal outcomes with practical, business-oriented solutions that address her clients’ needs and meet their goals.

Brooke’s strategic, thoughtful approach allows her clients to confidently navigate what is often an unfamiliar and intimidating process. She swiftly identifies key issues and develops a comprehensive, efficient defense plan tailored to individual needs, risks and priorities. Ensuring each client is well-prepared and supported throughout the process, she streamlines investigations, frequently avoiding any government action or minimizing the scope of conduct and potential charges or penalties.

Brooke’s clients include public and private companies, investment advisers, broker-dealers, hedge funds, boards of directors, board committees and service providers, as well as officers, directors and other individuals facing investigation or government scrutiny. Clients rely on her at every stage, from initial inquiry or subpoena through resolution. She regularly conducts internal investigations on behalf of her clients, uncovers potential issues and provides remediation strategies, counsels regarding regulatory examinations and handles securities litigation and complex civil litigation matters.

Brooke also has extensive experience in investigations relating to alleged insider trading, conflicts of interest, books and records and internal controls violations, supervision, and whistleblower allegations, as well as financial restatements and other high-profile cases involving large-scale financial fraud or receiverships.

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Key clients

  • Vikram Luthar

Work highlights

Representing Vikram Luthar, former CFO of Archer Daniels Midland, in a federal securities class action lawsuit and related derivative actions alleging accounting fraud and misleading statements that allegedly caused a 25% stock drop and over $8 billion in lost market value.