Geoff Ritts focuses on defending corporations, officers, and directors in securities, shareholder, and derivative litigation. He also counsels boards on governance issues. Chambers describes Geoff as "an excellent strategic thinker" and "insightful, practical and a leader who is also a team player." The Legal 500 US called him a "strong all-round litigator" who "makes himself available and is great to work with." In 2023, BTI Consulting named Geoff a "Client Service All-Star."
Geoff represented a top 10 bank in securities, derivative, and ERISA (Employee Retirement Income Security Act) lawsuits arising from the subprime mortgage crisis. He represented a major financial institution in multidistrict litigation (MDL) relating to the Bernard Madoff scandal. Geoff has represented many public companies in securities cases where courts dismissed complaints under the Private Securities Litigation Reform Act. Representative clients in public matters include Conagra Brands, KeyCorp, U. S. Steel, Goodyear, Verizon Communications, FirstEnergy, Macy's, Cardinal Health, Cleveland-Cliffs, and Erie Indemnity.
Geoff has served as an adjunct professor at Case Western Reserve University School of Law, teaching complex litigation. He is a faculty member at the Practicing Law Institute's annual securities litigation conference. Geoff coauthored a treatise on complex litigation in state courts (Statewide Coordinated Proceedings: State Court Analogues to the Federal MDL Process) and has written numerous articles on securities law and class actions, in publications such as Litigation magazine, National Law Journal, Journal of Corporation Law, and Defense Law Journal. Geoff has been invited to testify before the Ohio Legislature on class actions. He is a trustee of the Lake Erie Council of the Boy Scouts of America.
担当案件
出版物情報
- Statewide Coordinated Proceedings: State Court
Analogues to the Federal MDL Process, 1st edition (Andrews
Publications 2003) and 2nd edition (West Publications 2004) (with Mark
Herrmann and Katherine Larson)
- “Federal Forum Provisions for Ohio Corporations,” Capital
University Law Review, 49 Capital L. Rev. (2021) (with Marjorie P. Duffy and
Sam Lioi)
- “The Validity of Litigation-Reform Bylaws in Ohio,”
University of Toledo Law Review, 49 U. Toledo L. Rev. 27 (2017) (with Brandon
Mordue)
- “Updating Ohio’s Class Action Rules After More Than 40
Years,” 62 Cleveland State Law Review 189 (2014) (article became basis for
proposed rewrite of Ohio Rule of Civil Procedure 23, as adopted by Ohio Supreme
Court in 2015)
- “Comment on the Use of ‘Cy Pres’ In Class Actions in Ohio,”
37 Ohio Northern Univ. Law Review 367 (2011)
- “Creating Mini-MDL Statutes,” Litigation, vol. 32, no. 1
(Fall 2005) (with Mark Herrmann and Brian Ray)
- “Is Ohio Missing A Multidistrict Litigation Statute?” Ohio
Lawyer, (May/June 2004) (with Mark Herrmann)
- “New York Adopts Procedures For Statewide Coordination Of
Complex Litigation,” New York State Bar Journal, vol. 75, no. 8 (Oct. 2003)
(with Mark Herrmann)
- “Statewide Proceedings,” National Law Journal (Oct. 13,
2003) (with Mark Herrmann)
- “Get Ready For The New Texas MDL Statute,” Texas Lawyer
(Sept. 1, 2003) (with Mark Herrmann and Ryan J. McNeel)
- “Preemption and Medical Devices: A Response to Adler and
Mann,” 51 Food & Drug Law Journal 1 (1995) (with Mark Herrmann)
- “Basic Truths: The Implications of the Fraud-on-the-Market
Theory for Evaluating the ‘Misleading’ and ‘Materiality’ Elements of Securities
Fraud Claims,” 20 Journal of Corporation Law 571 (1995) (with John M. Newman,
Jr. and Mark Herrmann)
- “Professional Responsibility and the Conflict of Laws,” 18 Journal of the Legal Profession 17 (1993) (republished at 44 Defense Law Journal 63 (1995))
- April 29, 2024
Securities Litigation 2024: From Investigation to Trial (segment on "Ethical Issues in Complex Securities Litigation"), Practicing Law Institute - April 7, 2022
Issues for Audit Committees, Jones Day's Midwest Directors' Summit - March 28, 2022
Securities Litigation 2022: From Investigation to Trial, Practicing Law Institute - March 29, 2021
Securities Litigation 2021: From Investigation to Trial, Practicing Law Institute - December 4, 2018
Smart Communications and Recordkeeping Practices for Directors, Jones Day CLE Academy - April 12, 2018
Director Liability and Insurance Issues, Jones Day's Midwest Directors' Summit - April 4, 2018
PLI's Securities Litigation 2018: From Investigation to Trial - November 7, 2017
2017 Jones Day Speaker Series: Current Trends in Securities Litigation and Enforcement - April 5, 2017
PLI's Securities Litigation 2017: From Investigation to Trial - November 29, 2016
Directors and Officers in the Crosshairs: Trends in Securities and Shareholder Litigation - April 20, 2016
Securities Litigation 2016: From Investigation to Trial, Practicing Law Institute - December 8, 2015
Developments in Securities and Shareholder Litigation, Jones Day CLE Academy - November 19, 2015
"SEC Enforcement," RR Donnelley SEC Hot Topics Institute - June 13, 2014
2014 Speaker Series: When Complaints Reach the Board: Bench and Bar Perspectives on Internal Corporate Investigations, the Use of Special Committees, and Judicial Oversight of Board Investigations - May 2011
How Personal Is Your Risk? Directors' and Officers' Liability and Securities Litigation Update, sponsored by Wells Fargo Insurance Services - December 2010
Updates on the Attorney-Client Privilege and Work Product Protection, presentation to Aon Corp. Legal Department - December 2010
Cy Pres in Class-Action Settlements, Continuing Legal Education Seminar - May 2010
Testimony to Ohio House of Representatives on class-action legislation - November 14, 2008
Advanced Federal Practice Seminar, Federal Bar Association, Northern Ohio Chapter - December 2007
Developments in Securities and Shareholder Litigation, Continuing Legal Education seminar for Jones Day clients - December 2006
Defending Parallel Civil and Criminal Proceedings, Cleveland Bar Association White-Collar Crime Institute - May 2006
Attorney-Client Privilege Issues for Inside Counsel, Federated Department Stores Legal Department - April 2006
Developments in Class Action and Multidistrict Litigation, Cleveland Marshall College of Law - March 2006
Securities Litigation and Directors and Officers Insurance, seminar sponsored by Aon Corporation - October 20, 2005
Company Stock Funds: How to Minimize the Risks, seminar for clients and members of Jones Day's Employee Benefits & Executive Compensation Practice - 2003-present
Complex Litigation, a two-credit, full-semester class for second- and third-year law students, instructor, Case Western Reserve University School of Law - March 2005
Class Action Fairness Act of 2005, presenter, teleseminar for Jones Day clients - March 2005
Securities Litigation Developments, D&O Insurance Market Trends Seminar, AIG/National Union - Tuesday, March 8, 2005
Class Action Fairness Act - 2003
Trial Advocacy Class, instructor, Cleveland State University, Cleveland-Marshall College of Law - December 2003
Coordination of Mass Litigation in Federal and State Courts, Continuing Legal Education Seminar - October 2001
Contacting Former Employees, Continuing Legal Education Seminar
"Geoff is a fantastic boardroom lawyer who can speak to senior people at the company and provide thoughtful and creative solutions."Chambers USA
- Yale University (J.D. 1993; Senior Editor, Yale Law Journal; B.A. summa cum laude 1989; Phi Beta Kappa)
- Ohio
Chambers USA (Band 1: Ohio: Litigation — General Commercial)
BTI "Client Service All-Star"
The Legal 500 US (Securities Litigation — Defense)
Best Lawyers in America (Litigation — Securities, including 2025 and 2018 Lawyer of the Year, Securities Litigation, Cleveland)
Acritas "Star Lawyer"
Ohio Super Lawyers (Securities Litigation, General Litigation)
- Law Clerk to Judge David A. Nelson, United States Court of Appeals, Sixth Circuit (1993 term)