Background
Bagnall, Robert G. was born on August 7, 1956.
Bagnall, Robert G. was born on August 7, 1956.
Yale University (Bachelor of Arts, 1977). Harvard Law School (Juris Doctor, 1985).
Worked at Wilmer, Cutler & Pickering (Washington, District of Columbia) specializing in Administrative Law, Alternative Dispute Resolution, Antitrust and Trade Regulation, Appellate Practice, Aviation and Aerospace, Bankruptcy, Banks and Banking, Business Law, Civil Practice, Communications and Media, Computer and Software, Constitutional Law, Consumer Law, Corporate Law, Criminal Law, Election, Campaign and Political Law, Employee Benefits, Energy, Environmental Law, Finance, General Practice, Government Contracts, Government, Insurance, Intellectual Property, International Trade, International Law, Investments, Litigation, Mergers, Acquisitions and Divestitures, Natural Resources, Occupational Safety and Health, Products Liability, Regulatory Law, RICO, Securities, Taxation, Toxic Torts, Transportation and White Collar Crime. Admitted to the bar, 1986, New York and District of Columbia. Editor, Harvard Civil Rights - Civil Liberties Law Review.
Company-Author, with R. M. Phillips, "The Investment Company Acting of 1940: A Time for Reassessment," Partito Liberale Italiano (Italian Liberal Party) 22nd Annual Institute on Securities Regulation, 1990.
Member, Securities and Exchange Commission, Division of Investment Management, Senior Special Counsel (Office of Chief Counsel), 1995-1996, Assistant Chief of Office (Office of Regulatory Policy) 1993-1995. Wilmer, Cutler & Pickering has a diverse national and international regulatory, commercial, legislative, and civil and criminal litigation practice.
With offices in Washington, Baltimore, London, Brussels, and Berlin, the firm is able to meet the needs of its clients in matters involving issues of state, federal, international, or European Union law.
Member, Securities and Exchange Commission, Division of Investment Management, Senior Special Counsel (Office of Chief Counsel), 1995-1996, Assistant Chief of Office (Office of Regulatory Policy) 1993-1995.