Olga Greenberg: Lawyer with Eversheds Sutherland (US) LLP

Olga Greenberg

Partner
Atlanta,  GA  U.S.A.
Phone404.853.8274

Peer Rating
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Client Rating

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Experience & Credentials
 

Practice Areas

  • Securities Enforcement & Litigation
  • Internal Investigations
  • Financial Services Litigation
  • Broker-Dealer
  • Investment Adviser
  • White Collar Defense
  • Alternative Dispute Resolution
  • Financial Services
  • Insurance
  • Litigation
  • Government Enforcement & Investigations
  • Director & Officer Liability
 
Contact InfoTelephone: 404.853.8274
Fax: +1.404.853.8806
http://www.sutherland.com/People/Olga-Greenberg
 
University Emory University, B.A., summa cum laude
 
Law SchoolGeorgia State University College of Law, J.D., magna cum laude
 
Admitted2003, Georgia
 
Memberships 

Professional Activities

Member, American Bar Association
Member, Atlanta Bar Association
Member, Governing Committee, Eversheds Sutherland (US) Women Stepping Up

 
Biography

Olga Greenberg defends corporations, investment advisers, broker-dealers and individuals in enforcement and litigation matters involving the U.S. Securities and Exchange Commission (SEC), Department of Justice (DOJ), Financial Industry Regulatory Authority (FINRA), U.S. Department of Labor (DOL), state regulatory agencies, and numerous federal and state courts and arbitrations. Olga has extensive experience defending parallel investigations by multiple regulators from the early stages of inquiry to litigation and appeals. She also counsels broker-dealers, investment advisers, and individuals on compliance, registration, reporting and licensing issues, as well as on regulatory examinations and audits.

Prior to joining the firm, Olga served as a judicial clerk intern for the Honorable Marvin H. Shoob of the U.S. District Court for the Northern District of Georgia.

Selected Experience

Obtained dismissal of administrative actions brought against a broker-dealer by three state securities agencies.
Represents an investment bank in federal and state investigations and federal litigation involving alleged securities fraud, common law fraud and breach of fiduciary duty.
Negotiated the successful resolution of a FINRA sweep investigation and enforcement action involving inverse and leveraged ETFs of several broker-dealers.

Awards and Rankings

Selected for inclusion in Georgia Super Lawyers “Rising Stars” (2013-2017)

Client Tools

•Eversheds Sutherland Women Stepping Up

Clerkships

Judicial Clerk Intern, Honorable Marvin H. Shoob, U.S. District Court for the Northern District of Georgia

 
ISLN918063814
 

Documents by this lawyer on Martindale.com

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DOJ Extends FCPA Pilot Program
Peter J. Anderson,Olga Greenberg,Yvonne M. Williams-Wass,Ronald W. Zdrojeski, March 14, 2017
On Friday, March 10, Kenneth Blanco, the acting assistant attorney general for the Department of Justice’s Criminal Division, announced that the FCPA Pilot Program would not expire on April 5, 2017, as originally scheduled. Instead, Blanco indicated that the program would stay in place...

Federal District Court Rebuffs Attempt by Navy Sailors to Satisfy Judgment Against Republic of Sudan by Attaching Assets Held by Global Banks
Olga Greenberg,Meghana D. Shah,John E. Sharpe,Ronald W. Zdrojeski, February 16, 2017
A recent decision by the United States District Court for the Southern District of New York delivered a victory to banks seeking to prevent judgment creditors from attaching assets “blocked” pursuant to Office of Foreign Assets Control (OFAC) regulations.1 In Harrison v. Republic of...

FINRA Is Ready to Lace-up and Focus on “Blocking and Tackling”: FINRA’s 2017 Priorities and Related Enforcement Actions
Peter J. Anderson,Eric A. Arnold,Bruce M. Bettigole,Patricia A. Gorham,Olga Greenberg,Clifford E. Kirsch,Michael B. Koffler,Susan S. Krawczyk,Neil S. Lang,S. Lawrence Polk,Brian L. Rubin,Amelia Toy Rudolph,Sarah Razaq Sallis,Holly H. Smith,W. Scott Sorrels,John H. Walsh, January 30, 2017
As the football season was winding down, on January 4, 2017, the Financial Industry Regulatory Authority (FINRA) published its 2017 Annual Regulatory and Examination Priorities Letter.1 According to FINRA President and CEO, Robert Cook, this year’s 11-page letter focuses on “core...

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Office Information

Olga Greenberg

999 Peachtree Street, N.E.
AtlantaGA 30309-3996




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