
Thomas B. Hatch
Robins, Kaplan, Miller & Ciresi L.L.P.
2800 LaSalle Plaza, 800 LaSalle Avenue
Minneapolis, MN 55402
612-349-8500 (firm)
612-339-4181 (firm fax)
http://www.rkmc.com
PROFILE
Practice Groups
Experience
Financial Litigation practice has involved:
- Representation of institutional investors--mutual funds, hedge funds, insurance companies, and banks--as plaintiffs in litigation arising out of misrepresentations in securities offerings, including preferred stock, high yield bonds, and mortgage-backed securities.
- Representation of venture capital fund manager in disputes with limited partners.
- Representation of shareholders in closely held corporation in breach of fiduciary duty and buy-out actions.
- Representation of issuers in federal securities class actions.
Other matters include:
- Negligence and malpractice actions against accountants, lawyers, and tax advisors.
- Antitrust claims under the Sherman and Clayton acts.
- Non-compete and trade secret claims.
- Breach of contract and fraud actions arising out of the acquisition of a business.
- Breach of fiduciary duty claims.
Recognition
- Recipient of the Ramsey County Bar Assoication's "2011 Pro Bono Award"**
**Being named to the list or receiving the award is not intended and should not be viewed as comparative to other lawyers or to create an expectation about results that might be achieved in a future matter.
Civic Associations
- Southern Minnesota Regional Legal Services, Treasurer of the Board and Chairman of the Finance Committee; Volunteer Attorney
Bar Admissions
- Minnesota
- U.S. District Court, Minnesota
- U.S. District Court, Eastern District of Michigan
- U.S. District Court, Eastern District of Wisconsin
- U.S. District Court, North Dakota
- U.S. Court of Appeals, Sixth Circuit
- U.S. Court of Appeals, Eighth Circuit
- U.S. Court of Appeals, Ninth Circuit
- U.S. Supreme Court
Education
- William Mitchell College of Law, J.D., magna cum laude (1983)
- The Evergreen State College, B.A. (1975)
See Library Tab for articles, publications and presentations
by Thomas Hatch
LIBRARY
Articles
- China's Forbidden Investment
Emerging Legal Risks for Investors Who Deal with Chinese Variable Interest Entity (VIE) Structures
(March 1, 2012)
- Beyond Supply & Demand: Manipulation in the Commodities Market
Bloomberg Law Reports (March 24, 2011)
- Insurance Companies On Offense
Financial Services Law360, Securities Law360, & Insurance Law360 by Portfolio Media (April 21, 2009)
- Keep It Secret - Keep It Safe: Protecting Attorney-Client Privilege in International Business
(February 11, 2009)
- Home Mortgage Disclosure Act Data Spawn Lawsuits By Minorities and Cities
First Focus: A Subprime Crisis, a Thomson-West Report (2008)
- SEC Adopts New Antifraud Provision Under the Investment Advisers Act of 1940
(August 29, 2007) - Beyond Supply & Demand: Manipulation in the Commodities Market
Q&A
LOCATION
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