Michael J. Dell is a leading trial and appellate lawyer who has been successfully resolving business disputes for his clients for more than 30 years. Michael represents corporations, accounting and financial services firms, and individuals in civil litigation in state and federal courts, in internal investigations, and in connection with investigations and enforcement proceedings before government and regulatory agencies, including the Securities and Exchange Commission (SEC) and the Public Company Accounting Oversight Board (PCAOB). His work on behalf of his clients involves a broad range of business matters, including securities, accountants’ and auditors’ liability, commercial, real estate and insurance, patents and intellectual property, False Claims Act, ERISA, fiduciary and employment, antitrust, and trusts and estates lawsuits. A skilled advocate, Michael has extensive experience representing clients in alternative dispute resolution (ADR) proceedings, including arbitrations and mediations before FINRA (the Financial Industry Regulatory Authority), the American Arbitration Association, the International Center for Dispute Resolution, JAMS, the CPR Institute for Dispute Resolution and other ADR forums. Although he most often represents defendants, Michael has secured many judgments and settlements on behalf of plaintiffs.
J.D., magna cum laude, Harvard Law School, 1978
Associate Editorial Director, Harvard Law Review, 1977-1978
Editor, Harvard Law Review, 1976-1977
B.A., with honors, Oxford University, Wadham College, 1975
Honorable Stanley A. Weigel, U.S. District Court, Northern District of California, 1978-1979
Honors and Distinctions
Woodward White Inc.’s Best Lawyers in America (2010-2019)
Thomson Reuters’ New York Super Lawyers (2006-2018)
Chambers and Partners’ Chambers USA (2014-2018)
Legalease’s Legal 500 US (2011-2018)
NYSBA’s Empire State Counsel Honor (2015)
District of Columbia, 1992
New York, 1979
U.S. Supreme Court
Arian M. June is a litigation partner based in the firm’s Washington, D.C. office and is a member of the White Collar & Regulatory Defense Group. Recognized as one of 25 Influential Black Women in Business by The Network Journal (2020) and by Benchmark Litigation’s 40 and Under Hotlist (2020), Ms. June’s practice focuses on government and internal investigations, securities enforcement defense, whistleblower response, sensitive investigations, crisis management and white collar criminal defense. She has represented financial institutions, publicly traded companies, investment advisers and senior executives in complex regulatory matters, including allegations of securities fraud, insider trading, accounting and corporate disclosure issues, violations of the Bank Secrecy Act, cyber-intrusions and sales practices violations, including matters involving foreign exchange products and the distribution of life insurance products. Ms. June advises clients on various facets of the Dodd-Frank Act, with particular emphasis in designing corporate policies and procedures to comply with the Dodd-Frank Whistleblower regulations, investigating corporate whistleblower reports and mitigating whistleblower-related risks. In addition to her white collar practice, Ms. June also advises boards of corporations, educational institutions and other organizations in sensitive investigations, including board-directed independent inquiries of allegations involving sexual misconduct, racial intolerance and related matters.
Ms. June speaks and publishes frequently on topics of importance to her practice area. She has authored or co-authored articles for publications such as Bloomberg BNA Securities Regulation & Law Report, Bloomberg BNA World Securities Law Report, Law360, Journal of Investment Compliance and The Hill. Ms. June is co-editor-in-chief of the firm’s Accounting & Financial Reporting Enforcement Round-Up.
Ms. June has served in a variety of professional leadership roles, including as a Fellow to the American Bar Foundation, a Board Member of the District of Columbia Bar Board of Governors, a member of the Board of Trustees for the Washington Lawyers' Committee for Civil Rights and Urban Affairs and Vice Chair for the Federal Regulation of Securities Committee of the American Bar Association Business Law Section. She was also recently appointed to the Board of Directors of the National Health Law Program.
Ms. June joined Debevoise in 2017. She was previously a counsel at an international Washington, D.C.-based firm. She received her J.D. from the University of Pennsylvania Law School, where she served as a senior editor of the University of Pennsylvania Law Review. She earned a B.A. cum laude at the University of Maryland. Ms. June served as a law clerk to Chief Judge Royce C. Lamberth, U.S. District Court for the District of Columbia.
Susan J. Kohlmann is an experienced litigator in our Content, Media & Entertainment Practice, chair of the Trademark, Advertising and Unfair Competition Practice and managing partner of the firm's New York Office. Clients seek her counsel on a wide variety of complex matters, including copyright, trademark and trade secret disputes. She has also represented companies in various class action and other complex commercial matters. In addition to her extensive experience in jury and bench trials and arbitration proceedings, Ms. Kohlmann has extensive experience briefing and arguing appeals in the New York appellate courts and several federal circuit courts.
Ms. Kohlmann is consistently recognized by Legal 500 for her leadership in copyright law, and in 2020, was named one of only nine “Leading Lawyers” in the nationwide category. She has also been recognized by Legal 500 for appellate and Supreme Court litigation as well as media and entertainment law. Chambers USA has consistently recognized Ms. Kohlmann in its Intellectual Property: Trade Mark & Copyright (New York) practice area.
She was named American Lawyer’s “Litigator of the Week” in 2017 for leading a Jenner & Block team to a $13.15 million verdict for the Estate of Elaine Steinbeck, the late third wife of author John Steinbeck, in a trial over the rights to the writer’s works. She was also named a 2018 National Law Journal “Intellectual Property Trailblazer” for the victory. The trial win also earned the firm a spot as a “Legal Lion” on Law360’s weekly “Legal Lions and Lambs” report.
Managing Intellectual Property consistently names her an “IP Star” and has named her among the “Top 250 Women in IP.”
In 2019, New York Law Journal recognized Ms. Kohlmann as a “Distinguished Leader.”
A member of Jenner & Block’s Policy Committee, Ms. Kohlmann serves as chair of the firm’s Diversity Committee and on the New York office's Pro Bono Committee. She is also chair of Legal Services NYC.
C. Evan Stewart's practice focuses principally on the financial services industry, where he handles litigation matters for domestic and international clients before federal and state trial and appellate courts, in arbitration forums, as well as before the Judicial Panel on Multidistrict Litigation and the U.S. Supreme Court. He advises clients on a range of complex commercial matters, including antitrust, bankruptcy, class action defense, ethics, intellectual property, internal investigations, securities litigation, and tax controversies.
Mr. Stewart was featured by the New York Law Journal in the "Top Trials of 2005" for his successful representation of Theodore Sihpol, the first person in U.S. history to be criminally charged for "late trading" mutual funds. More recently, Mr. Stewart successfully represented Gary Prince against the U.S. Securities and Exchange Commission. In May of 2013, after a three week bench trial in federal court, the judge dismissed all six charges of securities fraud against Mr. Prince.
Mr. Stewart previously served twelve years as Executive Vice President and General Counsel for The Nikko Securities Co. International Inc., and as a director of Nikko Financial Services Inc. Additionally, Mr. Stewart served as First Vice President, Associate General Counsel, and Head of Litigation at E.F. Hutton & Company Inc. Since 2003, Mr. Stewart has been tasked by Goldman, Sachs & Co. to, among other things, oversee and litigate all of the disputes arising out of the company's Private Wealth Management Division.
Recognized as a Super Lawyer for Securities Litigation since 2009, Mr. Stewart has also been hailed as a "Local Litigation Star" by Benchmark Litigation since 2010. In 2016, Mr. Stewart received the Sanford D. Levy Award from the New York State Bar Association's Ethics Committee for having "significantly contributed to an understanding of professional ethics by the publication of an article, commentary or a series of articles or commentaries on the subject." In 2008, he received the Modaq Content Award for writing the most popular article in the United States. Since 1980, Mr. Stewart has been AV(R) Peer Review Rated by Martindale-Hubbell.
Mr. Stewart is a visiting professor at Cornell University and an adjunct law professor at Fordham Law School. He has been a regularly contributing columnist for the New York Law Journalsince 1990, the New York Business Journal since 2006, and has published approximately 300 articles on diverse legal subjects. He is also frequently featured in the national media and regularly speaks across the country on securities professional responsibility and complex litigation issues.