Brad Rocheville is an associate in the litigation and enforcement practice group, where he represents clients in a variety of government enforcement actions, sensitive internal investigations and complex commercial litigation matters. Brad has extensive experience counseling corporate clients in connection with internal and government-facing criminal and regulatory investigations. He represents a wide range of multinational and publicly-traded businesses, private equity firms and their portfolio companies, as well as life science, health care, and pharmaceutical companies.

Brad maintains an active pro bono practice representing indigent defendants in federal criminal cases through the firm’s participation in the Criminal Justice Act program. Brad also contributes to the family law team, representing clients in the Massachusetts Family and Probate Courts.

During law school, Brad served as the Editor-In-Chief of the Notre Dame Journal of International and Comparative Law.

Experience

Government, Internal, and Sensitive Investigations

  • Conducted an in-depth sensitive investigation on behalf of an elite university into an athletic team in connection with allegations of misconduct in violation of NCAA rules.
  • Represented hedge fund in connection with DOJ and SEC insider trading investigations.
  • Conducted an in-depth investigation on behalf of a fitness company in connection with corporate waste.
  • Conducted an internal investigation for large oil company regarding historical relationship with former foreign head-of-state; advised of risk under U.S. Foreign Corrupt Practices Act and recommended best practices moving forward.
  • Represented a hospital system in pharmaceutical diversion investigations carried out by state and federal law enforcement.
  • Advised a global life sciences company on investigations by Brazilian authorities into public tenders.
  • Advised pharmaceutical company on FTC Second Request.
  • Represented health care company in investigations by DOJ into allegations of potential False Claims Act violations.

Civil Litigation

  • Representing individual client in complex civil litigation involving allegations of tortious conduct.
  • Represented haircare products manufacturer, its officers and directors, and its private equity sponsor in putative securities class action.

Compliance

  • Supported the FCPA Independent Compliance Monitor, appointed by the U.S. Department of Justice, in monitoring and assessing the anti-bribery and anti-corruption compliance controls at Glencore, a multinational commodity trading and mining company.

Areas of Practice