C. Neil Gray is an associate in the Litigation Practice Group of Milbank, Tweed, Hadley & McCloy LLP, resident in Milbank's New York office. Prior to joining Milbank, Mr. Gray was an associate with Clifford Chance US LLP, where he was a member of the Securities Litigation and Antitrust practice groups. Mr. Gray's primary practice areas include securities litigation, with a concentration on litigating disputes under the Investment Company Act of 1940, and antitrust litigation and regulatory counseling.
Mr. Gray has defended and counseled a broad group of financial institutions on both federal and state securities laws and matters before securities regulatory agencies. He has represented numerous mutual fund investment advisers in class action and derivative litigation under the '40 Act, including Capital Research, Citigroup, Deutsche Bank, Dreyfus, Fidelity, ING, Merrill Lynch, Neuberger Berman, and Prudential. Mr. Gray is a co-author of "Current Developments & Strategies in Litigation Under the Investment Company Act of 1940" (2005), among other articles.
In addition, Mr. Gray has worked with a diverse array of industries in connection with his antitrust practice, including heavy-duty trucks, medical devices and supplies, home and commercial security and safety solutions, and petroleum.
Mr. Gray received his Bachelor of Arts cum laude from St. Lawrence University in 1994, and his Juris Doctorate magna cum laude from the Albany Law School of Union University in 1999. Mr. Gray served as a member of and Executive Editor for Business for the Albany Law Review. |