
FAX: 213.443.2794
Los Angeles
333 South Hope Street
Forty-Eighth Floor
Los Angeles, CA 90071
Practices
Industries
John P. Stigi III
Print PDFPartner
John Stigi is a partner in the Business Trial Practice Group in the firm's Los Angeles office, and leader of the firm's Corporate/Securities Litigation Team.
Areas of Practice
Mr. Stigi's practice focuses on securities class action and shareholder derivative action defense, SEC investigation defense, internal corporate investigations, and M&A and corporate governance litigation. He has extensive experience representing issuers, officers, directors and auditors in all areas of securities and corporate litigation, from the early stages before a complaint is filed through pleading motions, discovery, mediation, trial and appeal. Mr. Stigi also advises companies on disclosure and corporate governance issues, as well as directors and officers insurance matters.
Mr. Stigi’s practice is national in scope. He appears routinely in federal and state courts throughout California, New York and Delaware, and also has appeared in courts in Arizona, Colorado, Florida, Massachusetts, Mississippi, New Jersey, Texas and Washington.
Mr. Stigi previously was a partner in the securities litigation group at Wilson Sonsini Goodrich & Rosati, resident in the Palo Alto and San Francisco offices. Prior to that he practiced for 12 years in New York City where he represented issuers, accountants, banks, brokerage firms, and hedge fund managers in securities, commercial, bankruptcy, employment, and real estate litigation. Mr. Stigi clerked at the District of Columbia Court of Appeals and was an executive editor of the Virginia Journal of International Law.
Education
- J.D., University of Virginia, 1987
- B.A., Columbia University, 1984, cum laude
Admissions
- California
- New York
- U.S. Courts of Appeals for the Fifth and Ninth Circuits
- U.S. District Courts for the Central District of California, Northern District of California, Southern District of California, District of Colorado, Eastern District of New York and Southern District of New York
Representative Cases
Securities & Shareholder Derivative Actions
- America West
- Arthur Andersen
- Boeing
- Bolar/Circa Pharmaceuticals
- Chordiant Software
- Deloitte & Touche (various)
- Digital Cornerstone
- Ernst & Young
- Fairchild Corporation
- First Virtual Communications
- Hewlett Packard (various)
- i2 Technologies
- International Rectifier
- Irvine Sensors
- Jennifer Convertibles
- Leap Wireless
- McAfee
- NCI Building Systems
- NorthPoint Communications
- Quovadx
- Redback Networks
- Sahlen & Associates
- salesforce.com
- VISX
- Zales
Merger/Going Private Actions
- Corio
- CrossWorlds Software
- E.piphany
- Hewlett Packard/Compaq
- Hewlett Packard/Walter Hewlett
- Infoweapons
- International Rectifier
- LionsGate
- Plumtree Software
- Rational Software
- Raytel Medical
- Taylor Made
Financial Services-Related Actions
- CIBC Oppenheimer
- Citicorp Real Estate
- Clearwater Fund
- European American Bank
- First Nationwide Bank
- Hambro America
- Liberty Brokerage
- Moore Capital Management
- Patriot Securities
Memberships
- American Bar Association, 1989-present
- International Bar Association, 2004-2006
- New York State Bar Association, Civil Practice Law and Rules Committee, 1996-1999
- Los Angeles World Affairs Council, 2006-present
- University of Virginia School of Law National Litigation Panel, 1996-2000
- Columbia University Alumni Representative Committee, 2007-present
Articles
Articles in Print
- Courts Interpret 'Tellabs', The National Law Journal, March 17, 2008
- May a Court Consider Competing Inferences of a Defendant's State of Mind in Determining Whether the Complaint Pleads a 'Strong Inference' of Scienter?, 34 Preview of United States Supreme Court Cases (ABA), No. 6, April 9, 2007
- Electronic Discovery: New Rules Also Affect E-Discovery of Nonparties, The National Law Journal, March 19, 2007
- Delaware Decision in Disney Sets Forth Parameters for Duty of Good Faith, 21 Delaware Corporate Litigation Reporter, No. 6, September 25, 2006
- Disney Case Provides Further Insight into Directors' Duty of Disclosure, 13 Corporate Governance Advisor, No. 5, September/October 2005
- Delaware Vice Chancellor Strine Suggests Reform of Delaware Common Law Regarding Fully Negotiable Going-Private Transactions, 9 Wall Street Lawyer, No. 3, August 2005
Corporate & Securities Law Blog Articles
- "The Delaware Chancery Court Rejects Attempt By Acquirer To Cancel Merger Amid Worldwide Credit Crisis", November 11, 2008
- "Ninth Circuit Reaffirms That The 'Core Operations Inference,' Standing Alone, Is Insufficient To Support A Strong Inference Of Scienter In Securities Fraud Actions", September 23, 2008
- "Ninth Circuit Reverses Dismissal Of Securities Fraud Complaint On Loss Causation Grounds Despite Three-Month Delay Between Corrective Disclosure And Market Reaction", September 22, 2008
- "2008 Mid-Year Securities Litigation Reports Are Out, And The Numbers Are Up", August 7, 2008
- "Ninth Circuit Affirms Dismissal With Prejudice Of Corinthian Colleges Securities Fraud Class Action", August 7, 2008
- "Delaware Chancery Court Holds That Self-Interested Directorial Compensation Decisions Made Without Independent Protections Will Not Survive An Entire Fairness Review", July 22, 2008
- "Delaware Chancery Court Issues Rulings On Preliminary Injunctions Regarding Materiality Of Disclosures In Proxy Statements", July 17, 2008
- "Second Circuit Rejects "Collective Scienter" Theory For Pleading A Securities Fraud Claim Against A Corporation", July 17, 2008
- "Delaware Chancery Court Holds That IAC Spin-Offs Can Proceed Without Liberty's Consent", July 8, 2008
- "Delaware Chancery Court Holds That Advance Notice Bylaws Must Clearly State That They Apply To Self-Funded Proxy Solicitations", July 8, 2008
- "Delaware Chancery Court Holds That Advance Notice Provisions Must Clearly And Unambiguously Separate Nomination And Election Of Directors To Be Effective", July 8, 2008
- "Ninth Circuit Allows SEC to Proceed Against Director for Insider Trading Even Where Director Owed No Fiduciary Duty to Company Whose Stock He Traded", July 8, 2008
- "New York's Highest Court Holds That Members of Limited Liability Company May Bring Derivative Suits on the LLC's Behalf," February 29, 2008
- "California Supreme Court Imposes a Continuous Ownership Rule on Plaintiffs in Shareholder Derivative Actions," February 26, 2008
- "Delaware Supreme Court Holds That Board Members Who Do Not Own Shares Lack Standing to File a Derivative Suit," February 25, 2008
- "Supreme Court Severely Limits Secondary Actors' Exposure To Securities Fraud Lawsuits," January 17, 2008
- "Literally True Statement In A Prospectus Can Still Support A Federal Securities Claim If, In Context, The Statement Is Materially Misleading," January 7, 2008
- "Personal Jurisdiction Over Nonresident Officer Proper Under Delaware Law Only If There Was Active Conduct Performed In Officer's Official Capacity," December 19, 2007
- "Presentation Of Special Committee Report To Full Board Waives Attorney-Client Privilege," December 19, 2007
- "DOJ, Courts Lessen Pressure On Corporations To Deny Indemnification To Management Targets Of Prosecutions," November 15, 2007
- "Delaware Chancery Court Declines To Enjoin Merger, Recognizing High Burden To Succeed In Enjoining Premium Transaction In Absence of Competing Bid," November 15, 2007
- "Delaware Chancery Court Holds That Granting "Spring-Loaded" Stock Options to Executives Without Full Disclosure to Shareholders Violates Fiduciary Duties," November 2, 2007
- "High Court Confirms Private Securities Litigation Reform Act's Heightened Requirements for Pleading Scienter," July 2, 2007
- "Delaware Chancery Court Criticizes Small-Cap Company's Board for Failing to Fulfill Revlon Duties When Selling Company to Private Equity Firm," June 19, 2007
- "Delaware Supreme Court Affirms Disney Decision," June 12, 2006
- "Supreme Court Rules That Federal Law Pre-Empts State Law Securities Fraud Class Actions By Holders," May 10, 2006
- "Sentencing Guidelines Amended to Remove Requirement That Corporations Waive Privilege to Reduce Sentence," May 8, 2006
- "Prosecutors and Regulators Continue to Pressure Corporations to Deny Indemnification to Management Targets," May 5, 2006
Speeches
- Speaker, Deconstructing Ryan v. Gifford, Cal CPA Fraud Section, Los Angeles, February 2008
- Speaker, Environmental Disclosures, Los Angeles County Bar Association, Los Angeles, February 2008
- Speaker & Panelist, Securities Litigation, CLE International Conference on Class Actions, San Francisco, January 2008
- Co-chair, CLE International Conference on Class Actions, Los Angeles, January 2007
- Podcast, Merrill Lynch v. Dabit, TheCorporateCounsel.net Blog, April 2006
- Speaker & Panelist, McMaster World Congress Conference on Corporate Governance, Hamilton, Ontario, January 2006
- Speaker, Washington Metropolitan Area Corporate Counsel Association, SEC Enforcement, Reston, VA, December 2005
- Speaker & Panelist, International Bar Association Annual Conference, Prague, September 2005
- Speaker & Panelist, InSight CLE, M&A Litigation, Vancouver, BC, April 2005
- Speaker & Panelist, Glasser LegalWorks, Electronic Discovery, San Francisco, April 2004
- Speaker, Venture Capital Task Force, Palo Alto, July 2002
