Mike McConnell defends officers, directors, and corporations in high-stakes securities and fiduciary duty litigation. The matters litigated include securities fraud class actions, SEC investigations and inquiries, derivative cases, proxy fraud litigation, and other matters that are often ancillary to shareholder litigation, including shareholder inspection actions, disputes under shareholder voting agreements, internal corporate investigations, and other special committee matters. Mike serves as the head of litigation for the Firm's Atlanta Office.
Mike's recent representations include defending comScore, Inc. and certain of its officers and directors in securities litigation; defending Flowers Foods and certain of its officers and directors in securities litigation; defending Rayonier Inc. in securities litigation; defending Gray Television in litigation seeking to enjoin it from operating an Augusta television station or offering it in the National Incentive Spectrum Auction; defending WL Ross & Co. and certain current and former officers and directors of International Textile Group (ITG) in class and derivative shareholder litigation arising from the merger of ITG and Safety Components International; defending Attachmate Corporation in connection with shareholder litigation filed in Delaware and Massachusetts challenging its acquisition of Novell Corporation; defending former officers and directors of various banks that failed in the wake of the credit crisis; defending The Southern Company in securities litigation arising from the spin-off of Mirant Corporation; and defending SunOpta Inc. in securities litigation.
Mike is a member of the Trial Law Institute and Diversity Law Institute, a former member of the board of directors of the March of Dimes (Georgia Chapter; chairman, 2012), the Midtown Atlanta Rotary Club (president, 2013-2014), and the Leadership Atlanta Class of 2007.
Erfahrung
Weitere Veröffentlichungen
- January 2008
Six Months Later: Is Tellabs Making a Difference?, The Business Suit, DRI - January 2007
Second Circuit Rejects "Some Showing" Proof Standard for Class Certification in Securities Fraud Case, The Business Suit, DRI - February 2006
Market Efficiency and the Fraud-on-the-Market Theory, The Business Suit, DRI
- April 15, 2021
COVID-19 Implications to Securities Litigation and Regulation: What You Must Know and Do, presented by The Knowledge Group - June 17, 2020
Emerging Trends in Corporate Books and Records Litigation, presented by The Knowledge Group - December 6, 2019
Direct Examination of Financial Experts: Making the Complex Simple, presented by LCA Renaissance Symposium XV, Litigation Counsel of America - May 10, 2019
Securities and Derivative Litigation Panel, presented by the Atlanta Bar Association, Litigation Subcommittee - April 30, 2019
Halliburton II, Materiality, and Price Impact Rule in Securities Class Actions: 2019 Perspective, presented by The Knowledge Group - December 12, 2018
Halliburton II and the Price Impact Rule: Changing the Tides of Securities Litigation, presented by The Knowledge Group - January 22, 2018
How to Not End Up in the Headlines: An Overview of Insider Trading & Recent Developments, Jones Day CLE Academy - December 1, 2016
Accounting and Enforcement Innovation Summit, presented by EY and Jones Day - September 6, 2016
Halliburton II and the Price Impact Rule: Impact on Securities Class Actions Explored, presented by The Knowledge Group - June 9, 2015
Partnership and Shareholder Disputes from Start to Finish, presented by NBI - April 27, 2015
Consequences of Halliburton II and the Price-Impact Rules of 2015, presented by The Knowledge Group - August 7, 2014
Fraud-on-the-Market Theory: Significant Issues and Updates for 2014 and Beyond - September 20, 2012
Special Litigation Committees, presented to the Securities and Corporate Litigation Sub-Section, Atlanta Bar Association - November 14, 2008
The Subprime Collapse and the Credit Market Crash – Litigation Trends and Overview, presented to the Litigation Section of the Atlanta Bar Association - January 24, 2008
Securities Litigation After the Subprime Mortgage Collapse, presented to Securities and Corporate Litigation Sub-Section, Atlanta Bar Association - February 20, 2007
Options Backdating - Defense Strategies, Investigations and Professional liability Coverage, DRI Teleconference, presented by DRI's Commercial Litigation Committee - 2004
The Tools at Hand: Inspection of Corporate Records, 8th Annual Corporate Litigation Seminar, Institute of Continuing Legal Education in Georgia - 2002
Shifting Duties and Vanishing Protection: Issues Facing Officers and Directors of Financially Distressed Companies, 6th Annual Corporate Litigation Seminar, Institute of Continuing Legal Education in Georgia - 2000
New Selective Disclosure and Insider Trading Regulations: How to Implement Regulation FD, Rule 10b5-1, and Rule 10b5-2, PricewaterhouseCoopers Seminar - 1998
Inspection of Corporate Records, 2nd Annual Corporate Litigation Seminar, Institute of Continuing Legal Education in Georgia - 1997, 1998
Conducting Discovery in RICO Cases, RICO Seminar, Institute of Continuing Legal Education in Georgia - 1997
Corporate Privileges, Evidentiary Problems, and Discovery in Corporate Litigation, Corporate Litigation Seminar, Institute of Continuing Legal Education in Georgia
- Emory University (J.D. 1986; Jessup International Moot Court Competition; Director-in-Chief, Moot Court Society; Order of the Barristers); Drew University (B.A. in Economics cum laude 1983)
- Georgia
Master, Joseph Henry Lumpkin American Inn of Court (2014-2021)
Chambers USA, Georgia Litigation: Securities (Band 1, 2021) and Georgia Litigation (2012-2018)
The Best Lawyers in America (2013-2022): Commercial Litigation, Litigation - Regulatory Enforcement (SEC, Telecom, Energy), including "Lawyer of the Year" (2022) in Atlanta, and Litigation - Securities
Georgia Super Lawyers (2007-2018)
Senior Fellow, Litigation Counsel of America
Barrister, Order of Veritas, Litigation Counsel of America