Douglas Wesley Greene

Douglas Wesley Greene

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Rating: 10.0

Licensed for 32 years

Securities and investment fraud Lawyer at Seattle, WA
Practice Areas: Securities & Investment Fraud, Corporate & Incorporation, Mergers & Acquisitions, Class Action

1420 Fifth Avenue, Suite 4100, Seattle, WA

About Douglas

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Licenses

Licensed in Washington for 32 years

State: Washington

Acquired: 1993

Active

No misconduct found

Location

Lane Powell PC

1420 Fifth Avenue, Suite 4100, Seattle, WA, 98101

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Douglas Wesley Greene's Reviews

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Douglas Wesley Greene's Lawyer Endorsements

Endorse Douglas
Michelle Peterson headshot
Michelle Peterson

Securities and investment fraud lawyer | Dec 02

Relationship: Worked together on matter

"I had the opportunity to work with Doug on a securities class action I have no reservations in endorsing Doug. His approach to defending the case was tireless. He closely analyzed every possible outcome before making important decisions. His superior knowledge of securities law and his depth of intellect serves his clients well."

Andrew Wang Shawber headshot
Andrew Shawber

Securities and investment fraud lawyer | Sep 12

Relationship: Co-worker

"Doug is a superb attorney. He knows the applicable law thoroughly, he has a vast amount of experience, he is diligent, thoughtful and patient. Doug was great to work with, his calmness and confidence was a true help in sometimes difficult situations. I would highly recommend Doug to a prospective client."

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Experience

Rating:  10.0 (Superb)

Honors

2010

Super Lawyer, Super Lawyers Magazine

2009

Super Lawyer, Super Lawyers Magazine

2008

Avvo Top Corporate/Incorporation Lawyer, Washington CEO Magazine

2008

Super Lawyer, Super Lawyers Magazine

2007

Super Lawyer, Super Lawyers Magazine

2006

Super Lawyer, Super Lawyers Magazine

2005

Super Lawyer, Super Lawyers Magazine

2004

Super Lawyer, Super Lawyers Magazine

2003

Rising Star, Super Lawyers Magazine

N/A

AV Rated, Martindale-Hubbell

Work Experience

2011 - 2012

Partner, K&L Gates

2005 - 2010

Partner, Wilson Sonsini Goodrich & Rosati

1993 - 2005

Partner, Perkins Coie LLP

Associations

2008 - Present

Securities Reform Act Litigation Reporter

Board of Advisors

2003 - Present

Washington State Bar Association, Securities Law Committee

Member

King County Bar Association

Washington State Bar Association

Member

National Association of Corporate Directors

Member

2004 - 2007

Northwest Securities Institute

Co-chair

2001 - 2009

King County Bar Foundation

Board of Trustees

Education

1992

University of Iowa College of Law

JD - Juris Doctor

1988

Saint Olaf College

BA - Bachelor of Arts

Speaking Engagements

2012

Seminar for Bermuda Insurers

“Strategies for Evaluating and Resolving Securities Class Action and Shareholder Derivative Suits"

2012

Northwest Securities Institute

"Securities Litigation Developments"

2010

Northwest Securities Institute

"Who’s on First? Inside a Disclosure Crisis"

2009

Corporate Counsel Institute

"Ethical Dilemmas for Corporate Counsel: Representation and Privilege Issues"

2007

PricewaterhouseCoopers General Counsel Forum

"Stock Options: Emerging Issues and Developments,"

2006

WSBA CLE

"Securities Litigation: Overview and Current Issues," Successful Prosecution of Complex Business Disputes,

2004

Perkins Coie LLP Seminar for Portland-area Corporate Counsel

The New Era of Corporate Governance Litigation: Claims against Directors and Internal Investigations

2004

Association of Corporate Counsel

"The New Era of Corporate Governance Litigation: Claims against Directors and Internal Investigations,"

2003

PricewaterhouseCoopers General Counsel Forum

Proxy Season: The Reality of Corporate Governance Reform Sinks In,"

2003

Annual Corporate and Securities Law Update

Between the Pit and the Pendulum: Director Education and the Duties of Care and Good Faith One Year after Sarbanes-Oxley

2002

PricewaterhouseCoopers General Counsel Forum

"How the Enron Mess May Affect You,"

2002

Perkins Coie LLP/Deloitte & Touche LLP Corporate Governance Seminar

Sarbanes-Oxley and Other Earthquakes: The Corporate Governance Ground Has Shifted

2002

National Investor Relations Institute

Securities Litigation after Enron: Analysis and Predictions

Publications

2009

Securities Reform Act Litigation Reporter "Citigroup Shareholder Derivative Litigation: A Hard Case That Didn’t Make Bad Law"

2009

Securities Reform Act Litigation Reporter “Courts Should Increase Their Focus on Falsity Allegations (In My Opinion)"

2009

Securities Reform Act Litigation Reporter “Securities Litigation Developments: More From the Ninth Circuit, and a ‘Meaningful Cautionary’ Tale"

2009

Securities Reform Act Litigation Reporter “Ninth Circuit Addresses Several Pleading Issues in Securities Class Actions"

2006

International Journal of Disclosure and Governance "Securities Litigation Landscape"

2004

Corporate Governance Advisor "D&O Insurance Policies after Securities Lawsuits,"

2003

Glasser LegalWorks Seminars "Recent Trends in Private Securities Litigation - Sarbanes-Oxley Act of 2002: The Counter-Reform Act,"

2003

Bowne Publishing The Public Company Handbook, A Practical Guide

2002

Practical Lawyer "CEO and CFO Certifications under the Sarbanes-Oxley Act of 2002 and SEC Rules,"
Avvo Rating

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Avvo Rating Levels
10.0 - 9.0 Superb8.9 - 8.0 Excellent7.9 - 7.0 Very Good6.9 - 6.0 Good5.9 - 5.0 Average4.9 - 4.0 Concern3.9 - 3.0 Caution2.9 - 2.0 Strong Caution1.9 - 1.0 Extreme Caution