Mark is a managing associate in our international Dispute Resolution group, specialising in banks and asset managers. Mark’s practice includes the following:
- Responding to regulatory investigations (primarily those brought by the FCA) into banks and asset managers, including those relating to market abuse, whistleblowing, systems and controls and non-financial misconduct.
- Disputes and litigation involving banks and asset managers, including complex financial claims.
- Risk advisory work, including on conflicts of interest, class/collective action participation and trade errors.





.jpg?crop=300,495&format=webply&auto=webp)