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Our People
Thomas S. Richey
Partner
Atlanta
One Atlantic Center, Fourteenth Floor 1201 W. Peachtree St., N.W. Atlanta, Georgia 30309
Phone:
1 404 572 6663
Fax:
1 404 420 0663
email:
tom.richey@bryancave.com

Tom Richey concentrates his practice in securities, banking and corporate litigation.
Mr. Richey provides more than 30 years of broad-based experience in securities, financial and corporate litigation involving antifraud and non-registration claims, tender offers, mergers and insider trading issues, shareholder class actions and derivative actions, regulatory and enforcement actions, dissenting shareholders stock appraisal proceedings, director and officer liability insurance and indemnification, internal investigations and special committee representation, partnership disputes and professional liability litigation. Mr. Richey has successfully handled federal and state Rackateer Influenced and Corrupt Organization (RICO) litigation, with victories on both trial and appellate levels. Mr. Richey has also handled a wide range of general commercial, financial and real estate litigation over the years for businesses and industries of all kinds. His clients have included publicly and closely held corporations and their officers, directors and shareholders, national brokerage and investment banking firms, institutional investors, professional firms, REITs, banks, federal banking agencies, trade associations and other nonprofit organizations.
Mr. Richey is experienced in successfully conducting large-scale, complex litigation. In 2007, as counsel for a municipal bond underwriter, Mr. Richey won affirmance on appeal of dismissal of Rule 10b-5 claims and summary judgment on fraud and negligent misrepresentation claims brought by a bond insurer in a case closely watched in the bond industry arising out of a defaulted $69,550,000 revenue bond issue. Mr. Richey has tried and won favorable jury verdicts in officer and director liability, securities fraud and fiduciary litigation cases, among others. He won a $14.8 million jury verdict as lead counsel in a four-week trial involving claims concerning redemption of stock from an estate and the executor's misuse of estate assets to benefit himself and third parties. Mr. Richey served as appellate counsel in a RICO case, arguing the appeal for the CEO of a major subsidiary of a world-wide media company in the 8th Circuit and obtaining the reversal in June 2008 of a $4.5 million federal civil RICO jury verdict and a judgment of dismissal for the client. Other victories include trials of dissenting shareholder stock valuation cases, engagements as special appellate counsel, two directors and officers liability insurance coverage cases (a bench trial of a declaratory judgment action in Mississippi and summary judgment in a District of Columbia garnishment action) and the successful trial of a securities fraud arbitration involving a limited partnership formed to conduct a hostile tender offer. Mr. Richey has tried cases in Texas, Oklahoma, Mississippi, the District of Columbia and Georgia and has handled litigation in many other states, including New York, Illinois, Indiana, Michigan, Maryland, as well as all of the Southeastern states. He represents both plaintiffs and defendants in complex financial litigation.
Mr. Richey has extensive experience litigating financial and corporate claims in special courts and proceedings, including probate and bankruptcy courts and receivership. He has handled claims involving municipal bond defaults, hedge fund loan defaults, foreclosures on corporate stock and failed financial institutions. He has also served as counsel to special committees of boards of directors in investigative, litigation and transactional contexts. He has also tried and won stockbroker-customer disputes and has successfully handled state and federal agency enforcement proceedings.
Mr. Richey also provides consulting services in corporate indemnification and insurance matters. He assists corporate lawyers and their clients on indemnification and advancement to management and directors in all forms of business and nonprofit organizations. His insurance practice focuses primarily on director and officer (D&O) liability insurance. He reviews policies for gaps in coverage, assists in negotiating improvements in policy language, and provides advice and assistance with respect to claims.
On May 17, 2006, Mr. Richey was appointed by the U.S. District court for the Northern District of Georgia to serve as receiver of Easton Rutledge Financial Services, Inc., Zamindari Capital, LLC, Lexington International Fund LLC and Oxford Adams Capital LLC, in Securities and Exchange Commission v. Geoffrey A. Gish, 1-06-CV-1171-cc.
Mr. Richey is the founder of the Annual Corporate and Business Organization Litigation Seminar, which he has organized and chaired for the Georgia Institute of Continuing Legal Education for 12 consecutive years. Mr. Richey has spoken multiple times at the Directors College sponsored by the National Association of Corporate Directors and at the Annual Corporate Law Institute organized by the Business Law Section of the Georgia Bar. He has also spoken at other professional seminars, corporate training workshops and business and government conferences on securities claims and remedies, insider trading, disclosure issues, directors' liability, compliance and other topics in corporate, banking and securities litigation.
Mr. Richey has presented seminar papers on a wide variety of securities and corporate litigation topics and has recently authored the 2007 Annual Review of Case Law and Developments In Georgia Corporate and Business Organization Law.
Professional Affiliations
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American Bar Association – Litigation and Business Law Sections
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Atlanta Bar Association – Litigation Section
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State Bar of Georgia – Business Law and Litigation Sections
Civic Involvement and Honors
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Best Lawyer (Commercial Litigation, 2009)
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Georgia Super Lawyer (2008-2009)
Tom Richey concentrates his practice in securities, banking and corporate litigation.
Mr. Richey provides more than 30 years of broad-based experience in securities, financial and corporate litigation involving antifraud and non-registration claims, tender offers, mergers and insider trading issues, shareholder class actions and derivative actions, regulatory and enforcement actions, dissenting shareholders stock appraisal proceedings, director and officer liability insurance and indemnification, internal investigations and special committee representation, partnership disputes and professional liability litigation. Mr. Richey has successfully handled federal and state Rackateer Influenced and Corrupt Organization (RICO) litigation, with victories on both trial and appellate levels. Mr. Richey has also handled a wide range of general commercial, financial and real estate litigation over the years for businesses and industries of all kinds. His clients have included publicly and closely held corporations and their officers, directors and shareholders, national brokerage and investment banking firms, institutional investors, professional firms, REITs, banks, federal banking agencies, trade associations and other nonprofit organizations.
Mr. Richey is experienced in successfully conducting large-scale, complex litigation. In 2007, as counsel for a municipal bond underwriter, Mr. Richey won affirmance on appeal of dismissal of Rule 10b-5 claims and summary judgment on fraud and negligent misrepresentation claims brought by a bond insurer in a case closely watched in the bond industry arising out of a defaulted $69,550,000 revenue bond issue. Mr. Richey has tried and won favorable jury verdicts in officer and director liability, securities fraud and fiduciary litigation cases, among others. He won a $14.8 million jury verdict as lead counsel in a four-week trial involving claims concerning redemption of stock from an estate and the executor's misuse of estate assets to benefit himself and third parties. Mr. Richey served as appellate counsel in a RICO case, arguing the appeal for the CEO of a major subsidiary of a world-wide media company in the 8th Circuit and obtaining the reversal in June 2008 of a $4.5 million federal civil RICO jury verdict and a judgment of dismissal for the client. Other victories include trials of dissenting shareholder stock valuation cases, engagements as special appellate counsel, two directors and officers liability insurance coverage cases (a bench trial of a declaratory judgment action in Mississippi and summary judgment in a District of Columbia garnishment action) and the successful trial of a securities fraud arbitration involving a limited partnership formed to conduct a hostile tender offer. Mr. Richey has tried cases in Texas, Oklahoma, Mississippi, the District of Columbia and Georgia and has handled litigation in many other states, including New York, Illinois, Indiana, Michigan, Maryland, as well as all of the Southeastern states. He represents both plaintiffs and defendants in complex financial litigation.
Mr. Richey has extensive experience litigating financial and corporate claims in special courts and proceedings, including probate and bankruptcy courts and receivership. He has handled claims involving municipal bond defaults, hedge fund loan defaults, foreclosures on corporate stock and failed financial institutions. He has also served as counsel to special committees of boards of directors in investigative, litigation and transactional contexts. He has also tried and won stockbroker-customer disputes and has successfully handled state and federal agency enforcement proceedings.
Mr. Richey also provides consulting services in corporate indemnification and insurance matters. He assists corporate lawyers and their clients on indemnification and advancement to management and directors in all forms of business and nonprofit organizations. His insurance practice focuses primarily on director and officer (D&O) liability insurance. He reviews policies for gaps in coverage, assists in negotiating improvements in policy language, and provides advice and assistance with respect to claims.
On May 17, 2006, Mr. Richey was appointed by the U.S. District court for the Northern District of Georgia to serve as receiver of Easton Rutledge Financial Services, Inc., Zamindari Capital, LLC, Lexington International Fund LLC and Oxford Adams Capital LLC, in Securities and Exchange Commission v. Geoffrey A. Gish, 1-06-CV-1171-cc.
Mr. Richey is the founder of the Annual Corporate and Business Organization Litigation Seminar, which he has organized and chaired for the Georgia Institute of Continuing Legal Education for 12 consecutive years. Mr. Richey has spoken multiple times at the Directors College sponsored by the National Association of Corporate Directors and at the Annual Corporate Law Institute organized by the Business Law Section of the Georgia Bar. He has also spoken at other professional seminars, corporate training workshops and business and government conferences on securities claims and remedies, insider trading, disclosure issues, directors' liability, compliance and other topics in corporate, banking and securities litigation.
Mr. Richey has presented seminar papers on a wide variety of securities and corporate litigation topics and has recently authored the 2007 Annual Review of Case Law and Developments In Georgia Corporate and Business Organization Law.
Bar and Court Admissions Georgia, 1975 U.S. Court of Appeals, Fifth Circuit U.S. Court of Appeals, Eighth Circuit U.S. Court of Appeals, Eleventh Circuit U.S. District Court, Northern District of Georgia Education
Duke University, J.D., with honors, Order of the Coif, 1975
University of Heidelberg, 1968
University of Marburg, Fulbright Scholarship, 1967
Wesleyan University, B.A., cum laude, Phi Beta Kappa, 1966
Publications
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"2008 Georgia Corporate and Business Organization Case Law Developments", published in the Georgia Bar Journal, April 2009
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Annual Surveys of Georgia Corporate and Business Organization Case Law Developments for 2005, 2006 and 2007, published in the Georgia Bar Business Law Section Newsletters and/or the Georgia Bar Journal
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"Problems in Director and Officer Indemnification and Exculpation" and "Indemnification of Directors and Officers of Georgia Corporations" - Both papers presented at the 7th Annual Corporate Seminar, Nov. 21, 2003, sponsored by ICLE Georgia
Speeches and Seminars
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"Recent Developments In Georgia Case Law," 26th Annual Business Law Institute, Oct. 4, 2007, sponsored by ICLE Georgia
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"Duties, Liabilities and Protection for Directors, Officers and Members of Georgia Nonprofit Organizations," 5th Annual Georgia Non-Profit Law Seminar on April 4, 2008, sponsored by ICLE Georgia
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"Corporate Litigation Issues Under the Sarbanes-Oxley Act," 6th Annual Corporate Litigation Seminar, Nov. 22, 2002, sponsored by ICLE Georgia
Professional Associations
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American Bar Association – Litigation and Business Law Sections
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Atlanta Bar Association – Litigation Section
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State Bar of Georgia – Business Law and Litigation Sections
Civic Involvement and Honors
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Best Lawyer (Commercial Litigation, 2009)
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Georgia Super Lawyer (2008-2009)
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Education
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Duke University, J.D., with honors, Order of the Coif, 1975
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University of Heidelberg, 1968
-
University of Marburg, Fulbright Scholarship, 1967
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Wesleyan University, B.A., cum laude, Phi Beta Kappa, 1966
Admissions
- Georgia,
1975
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United States Courts of Appeals for the Fifth, Eighth and Eleventh Circuits
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United States District Court for the Northern District of Georgia
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United States Supreme Court
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