Seth M. Kruglak
Norton Rose Fulbright US LLP
Seth M. KruglakvCard
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Seth Kruglak is a Partner in Norton Rose Fulbright's New York office, where his practice focuses on litigating significant disputes and representing clients in complex investigations.
Seth has obtained winning jury verdicts and brought investigations and matters to successful resolution for a wide range of clients, including major corporations, banks, insurers, utilities, private equity funds, government officials and individuals. He also has experience in international and domestic arbitrations.
Seth has handled a wide variety of matters, including complex commercial and corporate disputes, securities, financial services, private equity, oil and gas, insurance, class actions, commodities, project finance, RICO, antitrust, intellectual property, products liability, civil rights and matters of national security.
Seth clerked for the Honorable Stanley Marcus, United States Court of Appeals for the Eleventh Circuit, and was a Senior Editor of the Columbia Law Review.
JD, Columbia Law School; Senior Editor, Columbia Law Review; Harlan Fiske Stone Scholar, 2003
BA, summa cum laude, University of Pennsylvania, 2000
- New York State Bar
Financial Institutions, Securities and Insurance Matters
- Tried litigation brought by Starr Indemnity & Liability Company against third party claims administrator to jury verdict in the Southern District of New York, winning multi-million dollar judgment for tort and contract claims and an award of punitive damages from the jury.
- Defended major bank in connection with inquiry and hearing by the United States Senate Permanent Subcommittee on Investigations regarding the activities of bank holding companies in connection with physical commodities.
- Represented putative class of holders of structured finance securities insured by MBIA in a Southern District of New York litigation alleging MBIA's corporate restructuring constituted a US$5+ billion fraudulent conveyance and breached the implied covenant of good faith and fair dealing.
- Defended certain officers of Lehman Brothers in securities fraud suit in the Southern District of New York arising from Lehman's exposure to real estate, mortgage-backed securities and mortgages.
- Defended JP Morgan, Bear Stearns and EMC Mortgage Corporation in breach of contract and fraud litigations brought in New York by monoline financial guaranty insurers in connection with securitizing residential mortgage loans.
- Defending insurance companies against claims of aiding and abetting breaches of fiduciary duty and waste in high profile dispute in Delaware Chancery Court.
- Represent private equity fund in connection with litigation arising out of foreclosure of interests in wind farm project in Alameda County, California.
- Represented "winning investor" in alleged Ponzi scheme in connection with the SEC and CFTC's opposition to the investor's settlement of potential clawback litigation in the Southern District of New York.
- Represented private equity funds seeking relief against former members and defaulting limited partners.
- Represented banks in connection with consumer finance litigation.
- Represented Oil Basins Ltd (Bermuda) in successful international arbitration and rehearing against major oil and gas producers to recover substantial overriding royalty payments on oil and gas produced offshore Victoria, Australia subject to the Weeks Royalty.
- Defended former CEO of major energy company in connection with highest profile criminal Sherman Act investigation and indictment brought by the Department of Justice against an individual in decades.
- Represented New Brunswick Power (Canada) in breach of long-term fuel supply agreement dispute with Venezuelan national oil company Petróleos de Venezuela before the Southern District of New York and Second Circuit Court of Appeals.
- Defended anchor line manufacturer in US$100+ million suit in the Southern District of Texas alleging defective anchor lines caused oil drilling rigs in the Gulf of Mexico to break free during Hurricane Ike.
- Advised Macquarie Infrastructure Partners and Cleco Corporate Holdings LLC, a subsidiary of Macquarie, on Cleco's US$1 billion purchase of NRG South Central Generating LLC assets in Louisiana and Texas.
- Advised corporations and banks in connection with project finance transactions and regulatory matters.
- Advised project companies in connection with disputes with the United States Department of Treasury arising out of cash grant payments under Section 1603 of the American Recovery and Reinvestment Act of 2009.
Additional Complex Disputes and Investigations
- Defended Princeton University in suit seeking return of Robertson Foundation endowment and other spending by Princeton exceeding US$950 million.
- Pursued federal RICO and antitrust matter arising from alleged bribery in connection with television broadcasting of prestigious South American soccer tournaments.
- Represented clients in connection with Department of Justice investigations involving the False Claims Act, the Financial Institutions Reform, Recovery, and Enforcement Act, the Foreign Corrupt Practices Act, and related civil litigations.
- Conducted internal investigations in response to criminal and civil government investigations.
- Defended individual subject to civil health care fraud judgment in California in connection with post-trial motions for relief.
- Defended corporations alleged to have violated the Fair Labor Standards Act.
Governmental Entities and Officials
- Assumed defense of Governor George Pataki on the eve of a nearly month-long jury trial in the Southern District of New York brought by convicted violent sex offenders alleging due process violations and related claims against the Governor and other New York government officials; jury returned verdict finding no liability for the Governor.
- Represented federal, state and local legislators as amici curiae in the Southern District of New York and Second Circuit Court of Appeals to support the City of New York and NYPD's defense of constitutional challenges to anti-terror subway security programs
- Represented City of New York and NYPD in connection with mass arrest suits in the Southern District of New York.
- New York Metro Rising Star, Business litigation and Securities litigation, Thomson Reuters, 2013 - 2018
- Under 40 Hot List, Benchmark Litigation, Euromoney PLC, 2018 - 2019
- Senior Editor, Columbia Law Review; Harlan Fiske Stone Scholar, Columbia Law School
- "2 Key NY Law Considerations For COVID-19 Contract Disputes," Law360, May 13, 2020
- "Mitigating the risk of coronavirus securities litigation in the US: Steps to take now," Norton Rose Fulbright Legal Update, March 18, 2020
- "Directors and officers face increased liability risk due to climate change," Law360, March 16, 2020
- "US federal court holds unsponsored ADRs may be subject to US securities laws," Norton Rose Fulbright Securities litigation and enforcement, February 24, 2020
- "The Delaware Supreme Court clarifies the standards for director oversight liability under Caremark," Norton Rose Fulbright Legal Update, June 26, 2020
- "US Supreme Court expands potential liability for securities fraud," Norton Rose Fulbright Securities litigation and enforcement, April 2, 2019
- "US reporting companies must disclose Brexit risks," Norton Rose Fulbright Financial services and regulation, April 1, 2019
- "Brexit Risk-Disclosure Considerations For US Reporting Cos.," Law360, March 28, 2019
- "Tenth Circuit Holds SEC Can Apply Antifraud Provisions Extraterritorially in Certain Situations," Norton Rose Fulbright Securities litigation and enforcement, March 1, 2019
- "US courts retreat from applying major federal statutes to extraterritorial activity," Norton Rose Fulbright Corporate and commercial disputes review, Issue 7, December 2018
- "Copy and paste securities fraud? The US Supreme Court to decide," Norton Rose Fulbright Legal Update, July 18, 2018
- "Supreme Court Limits Disgorgement in SEC Enforcement Actions With a Five-Year Statute Of Limitations," Client Alert, June 13, 2017
- "Supreme Court Confirms that Tips to Trading Relatives or Friends Violate Insider Trading Laws," Client Alert, December 15, 2016
- "Supreme Court Limits Section 11 Liability for Statements of Opinion," Capital Markets NewsWire, Summer 2015
- "Supreme Court Limits—But Does Not Foreclose—Section 11 Liability for Statements of Opinion, Leaving Investors With a Steep Climb," Client Alert, March 30, 2015
- "Notes from the Bench," Capital Markets NewsWire, Winter 2014
- "Supreme Court Reaffirms Basic's Fraud-on-the-Market Presumption, but Holds Defendants Can Challenge Price Impact of Misrepresentations Prior to Certifying a Securities Fraud Class Action," Client Alert, July 8, 2014
- "Keeping Current: Supreme Court Holds Proof of Materiality Not Required to Certify a Securities Fraud Class Action," Business Law Today, April 2013
- "Supreme Court Holds Proof of Materiality Not Required to Certify a Securities Fraud Class Action," Client Alert, March 11, 2013
- "Mitigating Risk of Securities Litigations," Webinar presentation: A twofold challenge to the energy industry: COVID-19 and low commodity prices, March 19, 2020
- "Top Business Cases of 2019," Norton Rose Fulbright Business Litigation Summit, January 29, 2020
- "Top Business Cases of 2018: New York State and Federal Courts," Norton Rose Fulbright Business Litigation Summit, November 14, 2018
- Judicial Clerk, Honorable Stanley Marcus, US Court of Appeals for the Eleventh Circuit, 2003-2004
- Member, Second Circuit Courts Committee, Federal Bar Council
Webinar | March 19, 2020
Publication | March 18, 2020
Publication | March 09, 2020
Webinar | November 21, 2019