Tamara Rozina is a member of the firm’s Government Investigations & White Collar Practice, based in the New York office. She defends individuals and companies in complex litigation and arbitration, as well as in government investigations and economic sanctions.
As a native Russian speaker, Tamara concentrates her sanctions practice around regulations and issues stemming from the Russia/Ukraine crisis. She regularly advises clients on risk management, compliance programs and fulfillment of existing sanctions. Her experience also includes issues arising from Office of Foreign Assets Control licensing, compliance and enforcement matters, as well as the designation and delisting process.
Tamara’s litigation practice focuses on securities and commercial matters, as well as complex class actions and multidistrict litigation. She actively helps clients strategize, defend and manage issues relating to federal securities laws, insider trading, fraud, breach of fiduciary duty and contract disputes. She represents a variety of clients, including investment advisors, broker dealers, banks, cryptocurrency enterprises and management consultants, as well as maritime entities. Tamara also counsels individuals and entities in connection with internal investigations and investigations brought by the Department of Justice, Securities and Exchange Commission and Financial Industry Regulatory Authority.