ATTORNEYS
PARTNERS
Arthur N. Abbey
aabbey@abbeyspanier.com
Mr. Abbey, the Senior and Founding Partner of Abbey Spanier, is a leading practitioner in the field of securities, antitrust and consumer litigation. As a result of his expertise in shareholder litigation, Mr. Abbey has negotiated hundreds of class action settlements achieving extraordinary results for class members.
Mr. Abbey is recognized as an authority on securities litigation and class
action litigation, contests for corporate control
and directors’ and officers’ insurer’s liability. He is frequently asked to
lecture and serve on panels before the plaintiffs’ and defendants’ bar and
Corporate America alike on these issues as well as other securities law
issues.
Because of his expertise Mr. Abbey is often invited to lecture or serve as a
panel member. The following are some of the seminars in which he has
participated: April 24, 2008, a guest lecturer at Harvard Law School on
securities litigation pursuant to the Securities Act of 1933 and Securities
Exchange Act of 1934; April 9, 2008, Willis Executive Risks Practice Meeting:
Securities Panel; January 2008 P.L.I. seminar “Contests for
Corporate Control”; June 21, 2007, a guest commentator on CNBC speaking on
shareholder litigation involving leveraged buy-outs; March 2007 "Spotlight on Litigation"; 2007 Federal Bar Counsel’s Winter Meeting, Panelist – “The
Lawyer’s Role in Corporate Governance”; January 2007 P.L.I. seminar “Contests for Corporate Control”; 2006 PLUS Seminar on D&O Liability &
Insurance Issues, June 2006 Anderson Kill & Olick, P.C. Fourth Annual D&O
Conference on “The Forgotten Promise – Strategies and Tactics to Maximize
the Value of D&O Insurance”; January 2006 P.L.I. seminar “Contests for
Corporate Control”; 2005 PLI Seminar on Contests for Corporate Control –
Current Offensive & Defensive Strategies in M&A Transactions; 2004 Glasser
LegalWorks Panel on “Preliminary Issues Regarding Forum Selection,
Jurisdiction and Choice of Law; June 2004 The Association of the Bar of the
City of New York seminar on "D&O Liability & Insurance in the Financial
Institution Crisis - A Sarbanes-Oxley Update"; 2004 PLUS D&O Liability &
Insurance Issues Symposium on “An Overview of the Securities Litigation
Landscape”; 2003 ABA Conference on “Pension Plans and Investment Banks: In
the Cross Hairs of ERISA and Securities Law”; 2003 Second Circuit Judicial
Conference; 2003 PLUS Seminar on D&O Liability & Insurance Issues; January
2003 P.L.I. seminar “Contests for Corporate Control"; 2002 AIG National Union
Seminar "The Changing Landscape of Financial Reporting and Corporate
Governance Panel"; 2002 Trowel Trades Trust Fund Educational Conference "Post-Enron: The Importance of Being an Active and Informed Trustee"; 2002
NERA Securities Litigation Seminar “Challenging The Traditional Thinking in
Securities Class Actions”; 2002 PLUS seminar on D&O Liability & Insurance
Issues; 2002 Federal Bar Counsel’s Winter Bench & Bar Panel “Developments
Under the New PSLRA of 1995”; January 2002 P.L.I. seminar “Contests for
Corporate Control”; November 2001 Glasser LegalWorks panel on New
Developments in Shareholder Litigation; May 2001 Association of the Bar of
City of New York panel on Current Issues in D&O and Professional Liability
Insurance; March 2001 Council of Institutional Investors’ panel on Pension
Funds and Litigation 2001; 2000 PLUS seminar on D&O Liability & Insurance
Issues; December 2000 Glasser LegalWorks seminar on Litigation & Resolution
of Complex Class Actions; July 2000 ABA Annual Meeting – Panel on “Protecting Mergers And Acquisitions-When Is A Deal Really A Deal?”; January
2000 P.L.I. seminar on Contests for Corporate Control-Directors’ Fiduciary
Duties in a Takeover; 1999 PLUS D&O Liability & Insurance Issues Symposium
on "Legal Developments and Trends in Securities Fraud Litigation"; 1998
Glasser LegalWorks Seminar on Litigation & Resolution of Complex Class
Actions; 1998 Plus International Conference on the Effect and Future of the
Private Securities Law Reform Act of 1995; October 1998 TIX Seminar Series
for Insurance Professionals on Director's & Officer's Liability; July 1998
Annual Meeting of the ABA Section of Business Law on the Subject of Mergers
and Acquisition Transactions; May 1998 Chubb Group Executive Protection
Seminar on Litigation Issues; February 1998 Federal Bar Counsel Winter
Bench & Bar Conference's Roundtable on Law Ethics; January 1998 P.L.I.
seminar on Contests for Corporate Control - The New Environment; January 1998 PLUS seminar on D&O Liability & Insurance Issues; November 1997
Professional Liability Underwriting Society's 1997 International Conference;
September 1997 Glasser LegalWorks seminar on Litigation and Resolution of
Complex Class Actions; September 1997 Chubb Group seminar on D&O Advanced
Training; January 1997 P.L.I. seminar on Contests for Corporate Control -
The New Environment; October/November 1996 P.L.I. seminar on Litigation
Under The Private Securities Litigation Reform Act of 1995 and SEC
Enforcement Developments; August 1996, ABA Section of Business Law on "Counseling Your Board through An M&A Transaction"; February 1996 P.L.I.
seminar on "Sweeping Reform, Litigating and Bespeaking Caution Under New
Securities Law"; January 1996 Securities Fraud Seminar on the Private
Securities Litigation Reform Act of 1995; January 1996 Glasser LegalWorks
Seminar on Class and Derivative Litigation in the Reform Era; January 1996
P.L.I. seminar on Contests for Corporate Control; January 1995 P.L.I.
seminar "Mergers and Acquisition in the 1990's - Step by Step Guide";
October 1994/November 1994 Prentice Hall "Fifth Annual Institute: Class &
Derivative Litigation in 1990's -- Post-Recession Battleground"; April, 1994
ABA Panel "Revolution or Evolution"; July 1994 Prentice Hall 14th Institute
on Acquisition and Takeovers; February 1994, Investment Management Institute
and Investors Fiduciary Services on Corporate Governance; June 1990,
ALI-ABA University of Virginia Law School co-sponsored practice workshop
entitled "Trial of a Securities Case".

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