Matt’s practice focuses on antitrust and anti-corruption related matters. Matt has successfully tried numerous criminal and civil trials that have alleged various antitrust, RICO, and other corruption-related violations. Outside of the court room, Matt has defended companies and individuals in investigations and proceedings brought by the Department of Justice, Federal Trade Commission, Securities and Exchange Commission, European Commission, and the Canadian Competition Bureau, among others.
Matt is a Certified Compliance and Ethics Professional® (CCEP) and proactively counsels clients on risk management and organizational compliance and ethics. He has conducted risk assessments and created compliance programs and initiatives for international clients, as well as advised and trained global companies on compliance with US and international antitrust and anti-corruption laws, including the Foreign Corrupt Practices Act (FCPA), UK Bribery Act, and Sapin II.
Washington and Lee University School of Law, J.D., 2005, cum laude
Indiana University, B.S., 2002
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