Katie Galley developed the firm’s financial institutions practice and has been active in the firm’s securities and corporate and government investigations practices for more than thirty years. In addition, she has managed cases involving breach of contract, consumer class actions, corporate governance, valuation, and auditor liability.
Financial institutions
For more than three decades, Ms. Galley has consulted on litigation involving all types of financial institutions and the agencies that oversee them, including such cases as the ACC/Lincoln Securities Litigation and the Glendale Federal Bank breach of contract case, which resulted in a major judgment against the U.S. government.
She has worked extensively on matters involving financial institutions, as well as issues related to FinTech, credit cards, insurance, mutual funds, pensions, and real estate. Ms. Galley has also addressed many institutional failures, including matters brought by regulatory agencies such as the Federal Deposit Insurance Corporation (FDIC), Securities and Exchange Commission, Office of Thrift Supervision, Office of the Comptroller of the Currency, and various state insurance departments.
Securities
Expert in all types of securities litigation, Ms. Galley has experience with matters involving equities, debt, and derivatives. She has addressed structured financial instruments such as asset securitizations, including residential and commercial mortgage-backed securities. She has also assisted attorneys at all stages of these matters, including settlement negotiations, expert reports, depositions, and trial.
Auditor liability
She has addressed auditor liability issues in all types of industries, including distressed financial institution litigation. Ms. Galley has worked on matters related to external audits, Generally Accepted Accounting Principles (GAAP) reporting, tax advice, and internal controls. She has addressed damages that allegedly resulted from the challenged auditor work, along with loss causation defenses.
Ms. Galley coauthored “Bank Failures: Regulatory Actions and Litigation” published in Litigation Services Handbook: The Role of the Financial Expert (Fifth Edition), along with a series of reports on FDIC lawsuits against directors and officers of failed financial institutions. Prior to joining Cornerstone Research, Ms. Galley was a consultant with McKinsey & Co. and assistant director of research at the Stanford Graduate School of Business.
Approved Claims Rates in Securities Class Actions: Evidence from 2015–2018 Rule 10b-5 Settlements
- Chan et al. v. ArcSoft Inc et al.
- In re Oracle Corporation Derivative Litigation
- City of Providence, Rhode Island, et al. v. BATS Global Markets Inc. et al.
- Hussein v. QSI et al.
- Appraisal Litigation in a Going Private Transaction
- Hsu et al. v. Puma Biotechnology Inc. et al.
- Rebuttal of Bond Market Efficiency
- Securities Class Action Regarding Mutual Fund Performance
- Allergan Takeover Bid
- Metropolitan Creditors’ Trust et al. v. Ernst & Young
- Professional Malpractice
- ACC/Lincoln Savings Securities Litigation
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