Overview 
At a Glance
Randy’s practice focuses on securities litigation and enforcement matters, including defense of SEC investigations and enforcement actions for corporations, directors, officers and regulated professionals. He also has handled securities fraud class actions brought by shareholders. In addition, he has prosecuted and defended a wide range of complex commercial litigation matters including director and officer liability, trademark and contract disputes, trade secrets and non-competition clauses, class actions and insurance coverage.
Education
University of Michigan (B.A., with high distinction and honors, 1993)

Duke University School of Law (J.D., with high honors, 1996) Order of the Coif, Senior Note Editor, Duke Law Journal