Gary E. Cantor
Gary E. Cantor is a Shareholder in the Philadelphia office. He concentrates his practice on securities and commercial litigation and derivatives valuations. Mr. Cantor served as co-lead counsel in Steiner v. Phillips, et al. (Southmark Securities) and In re Kenbee Limited Partnerships Litigation.
Zachary D. Caplan
Zachary D. Caplan is an Associate in the Antitrust and Commodities practice groups. Mr. Caplan has worked on a variety of matters resulting in substantial settlements. E.g., Marchbanks Truck Service, Inc. v. Comdata Network, Inc.; In re Titanium Dioxide Antitrust Litigation; In re High Tech Employee Antitrust Litigation; Adriana Castro, M.D., P.A., et al. v. Sanofi Pasteur Inc.; and In re Celebrex Antitrust Litigation.
Shanon J. Carson
Shanon J. Carson is a Managing Shareholder of the Firm. He Co-Chairs the Employment & Unpaid Wages, Consumer Protection, Defective Products, and Defective Drugs and Medical Devices Departments and is a member of the Firm’s Commercial Litigation, Employee Benefits & ERISA, Environment & Public Health, Insurance Fraud, Predatory Lending and Borrowers’ Rights, and Technology, Privacy & Data Breach Departments.
Aurelia Chaudhury is an Associate in the Antitrust Department. Prior to starting work at the Firm, Ms. Chaudhury clerked for the Honorable Judge David J. Barron on the United States Court of Appeals for the First Circuit and the Honorable Judge Denise J. Casper on the United States District Court for the District of Massachusetts.
Joy P. Clairmont
Joy Clairmont is a Shareholder in the Whistleblower, Qui Tam & False Claims Act Group, which has recovered more than $3 billion for federal and state governments, as well as over $500 million for the firm’s whistleblower clients.
Todd S. Collins
Todd S. Collins is a graduate of the University of Pennsylvania (B.A. 1973) and the University of Pennsylvania Law School (J.D. 1978), where he won the 1978 Henry C. Laughlin Prize for Legal Ethics. He is a member of the Pennsylvania and Delaware Bars.
Ms. Connon is an Associate in the Firm’s Employment & Unpaid Wages practice group. She represents employees who are not being paid properly in class and collective actions arising under the Fair Labor Standards Act and state laws.
Caitlin G. Coslett
Caitlin Coslett concentrates her practice on complex litigation, including antitrust, environmental, and mass tort litigation. Since joining the Firm, she has worked on a variety of matters, including Cook v. Rockwell International Corp. (mass tort), and antitrust class actions such as CRT Antitrust Litigation, In re Domestic Drywall Antitrust Litigation, In re Payment Card Interchange Fee and Merchant Discount Antitrust Litigation, Steel Antitrust Litigation, and In re Urethane [Polyether Polyols] Antitrust Litigation.
Eric L. Cramer
Mr. Cramer is Firm Chairman and Co-Chair of the Firm’s antitrust department. He has a national practice in the field of complex litigation, primarily in the area of antitrust class actions. He is currently co-lead counsel in multiple significant antitrust class actions across the country in a variety of industries and is responsible for winning numerous significant settlements for his clients totaling well over $2 billion.
Andrew C. Curley
Andrew C. Curley is a Shareholder in the Antitrust practice group. He concentrates his practice in the area of complex antitrust litigation. Mr. Curley served as Co-Lead Class Counsel on behalf of a class of independent truck stops and other retail merchants in Marchbanks Truck Service, Inc. v. Comdata Network, Inc.