C.W. (Peter) Flynn specializes in the area of securities litigation and enforcement. He was formerly an attorney with the Trial Unit of the SECs Division of Enforcement in Washington, D.C. For the past 25 years, he has practiced with Locke Lord LLP in Dallas, and is a member of its White Collar Defense Group. He has represented public finance clients, including municipal issuers, underwriters and financial advisers in connection with investigations by the SEC, Department of Justice and the State of Texas. He received his B.A. from Princeton and his J.D. from The University of Virginia Law School.
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Independent and authoritative analysis and perspective for the banking industry