Peter concentrates his practice on defending clients in governmental investigations, including actions before the Securities and Exchange Commission (SEC), Department of Justice (DOJ), Congress, Financial Industry Regulatory Authority, and state securities regulators. He also conducts and defends internal investigations and independent reviews involving the antifraud and other provisions of the federal securities laws, defends securities litigation, and advises on ethics and compliance matters, crisis management, and corporate governance. In addition, Peter defends Foreign Corrupt Practices Act (FCPA) investigations, provides FCPA compliance advice, and conducts FCPA due diligence of third parties worldwide.