Brian Concklin advises clients on compliance with the U.S. merger control laws, the regulatory review of mergers and acquisitions, government investigations into anti-competitive conduct, and the implementation of antitrust best practices.
Brian has represented numerous clients involved in mergers, acquisitions, or the creation of new entities, including compliance with the Hart-Scott-Rodino Antitrust Improvements Act of 1976, as amended, and its related pre-merger notification filing requirements.
Brian has advocated on behalf of such clients before the U.S. Federal Trade Commission and U.S. Department of Justice during the agencies’ review of a transaction. This includes responding to Second Requests and negotiating remedies when necessary.