Kevin S. Reed
New York Office
White Collar and Corporate Investigations
Investment Fund and Fund Advisor Litigation
Member, The State Bar of New York; United States Court of Appeals: Second Circuit; United States District Court: Southern District of New York
Mr. Reed is a commercial litigator with a broad range of expertise. His practice areas include insurance, intellectual property and trade secrets, sovereign debt, employment, defamation, securities and deal-related disputes. He has tried to verdict more than a dozen trials and arbitrations and is an experienced appellate advocate, as well, with numerous arguments in the Second Circuit, the New York Appellate Division and the Supreme Court of Delaware.
As a former federal prosecutor, Mr. Reed is also well versed in white collar matters and corporate internal investigations. He has counseled both corporations and individuals in a variety of criminal and quasi-criminal matters, including matters pending before the Department of Justice, the Securities and Exchange Commission, and the Federal Energy Regulatory Commission.
Mr. Reed represents and counsels clients such as American International Group, Inc., IBM, Morgan Stanley, and The Scotts Company in various commercial matters.
Mr. Reed also represents several hedge funds and private equity funds, including Elliott Associates, Platinum Equity, XE Capital and Trellus Management, in a wide range of deal-related and other matters.
Served as litigation and strategic counsel to AIG in a multi-pronged dispute with former AIG CEO Maurice R. Greenberg and the C. V. Starr & Co. organization concerning ownership of more than $1 billion of insurance business.
Serves as litigation and trial counsel to AIG in a reinsurance dispute, comprising three consolidated actions, in which AIG seeks to compel a reinsurer to meet its obligation to pay nine-figure losses.
Represents Elliott Associates in matters against Argentina and the Republic of the Congo seeking to collect on hundreds of millions of dollars of defaulted sovereign debt.
Represented Morgan Stanley in preparing for re-trial of Coleman (Parent) Holding, Inc. v. Morgan Stanley & Co., Inc., a matter in which Morgan Stanley had been accused of fraud and had incurred a $1.5 billion judgment.
Represents XE Capital and affiliates in a multi-pronged dispute, involving both litigation and arbitration, with a partner in a "life settlement" joint venture arising out of the partner's failure to deliver approximately $30 million in commissions into the joint venture.
Represented former officers and directors of GT Telecom in case brought by JPMorgan Chase on behalf of holders of more than $700 million in notes and obtained dismissal of all claims.
Represent former division controller of Collins & Aikman in joint Department of Justice and Securities and Exchange Commission investigation of alleged accounting irregularities, which has resulted in indictment of former CEO David Stockman and others.
Represented hedge fund in arbitration against third-party marketer claiming rights to tens of millions in commissions on inflows and appreciation and obtained decision limiting commissions to less than $1 million.
Represented Credit Suisse in arbitration against key senior investment banker in financial services sector who sought to void non-compete and obtained preliminary and permanent injunctions forcing banker to abide by full one-year non-compete period.
Served as one of three lead prosecutors in a three-month racketeering and mail fraud trial in which the owners and senior managers of a postal sorting company were convicted of perpetrating a $20 million fraud on the United States Postal Service.