Clients depend on Sean for his 33 years of experience with complex commercial disputes, securities litigation and regulatory investigations.

Overview

Sean defends directors, officers and general partners in derivative lawsuits and advises them on meeting their fiduciary duties, regularly conducts internal investigations for financial institutions, public companies and their board committees. He also advises, and where necessary, litigates over trade secret disputes and covenants not to compete.

He has defended companies and financial institutions against consumer and securities class actions, handled FINRA and AAA arbitrations and represented both plaintiffs and defendants in securities fraud cases.

Sean co-chairs our Business Torts Litigation practice group.

Sean regularly represents companies and individuals in the agricultural, animal health and food production industries.

Before joining the firm, Sean spent five years with the Commercial Litigation Branch of the U.S. Department of Justice.

Experience

Sean has pursued and defended several claims for misappropriation of trade secrets, breach of fiduciary duty, unfair competition and tortious interference with contract, and has recovered substantial damages and injunctive relief for clients in such actions including through bench and jury trials.

He has defended numerous public companies, financial institutions, and financial professionals in SEC and CFTC investigations.

He represented shareholders in several successful lawsuits related to a public company proxy contest.

Sean has represented companies and corporate officers in connection with responding to grand jury subpoenas.

He has defended False Claims Act litigation.

He has defended a bank and its publicly-traded holding company in multiple class action lender liability cases.

Sean has successfully defended FINRA and AAA arbitrations seeking tens of millions of dollars in damages.

Sean has conducted internal investigations of possible insider trading, self-dealing transactions and other financial and accounting improprieties.

News & Insights

Speaking Engagements

Regularly presents on best practices in internal and regulatory investigations, particularly SEC investigations

Several presentations on drafting and enforcing non-competition agreements

Regularly presents on securities litigation and white collar crime issues

Publications

"In Good Measure: Workforce Demographics and Statistical Proof of Discrimination," The Labor Lawyer, Volume 23, Number 1, Summer 2007 

Recognitions

Recognitions

Missouri Lawyers Weekly Top Verdicts and Settlements List, 2021 

Selected as "Lawyer of the Year" by The Best Lawyers in America©, 2016, 2021

Listed in The Best Lawyers in America® for litigation, 2010 - 2024

Ranked by Benchmark Litigation as a Future Local Star, 2013 - 2018, 2024

Professional & Civic Activities

Professional & Civic Activities

KCMBA Military Matters Program, Volunteer

The Children's Place of Kansas City

  • Former Director and Board Chair

UMKC Community Fellows Program

Kansas City Metropolitan Bar Association

  • Federal Courts Advocate Section

Admissions

  • North Carolina, 1991
  • Missouri, 1997
  • Kansas, 2012
  • United States Court of Federal Claims
  • Various United States District and Circuit Courts

Education

Harvard University, J.D., cum laude, 1991

University of Chicago, B.A., 1988

  • Phi Beta Kappa; Student Marshall
Jump to Page

We use cookies on our website to improve functionality and performance, analyze website traffic and enable social media features. For more information, please see our Cookie Policy.