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Haynes and Boone, LLP

Carrington Giammittorio

Carrington Giammittorio

Haynes and Boone, LLP
Texas, U.S.A.

tel: +1 214 651 5256
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Local Time: Sun. 04:37

Carrington Giammittorio is an associate in the Litigation Practice Group in the Dallas office of Haynes and Boone.

Her practice focuses on government investigations, securities litigation, white collar defense, and antitrust. Carrington also assists clients in internal investigations.

At the University of Virginia School of Law, Carrington was the inaugural Law, Psychiatry, and Public Policy Fellow and served as an Articles Editor for the Virginia Journal of Criminal Law. She also worked as a research assistant for multiple professors, helping to edit books and design syllabi for seminars. This allowed her to hone her writing skills, efficiency, and attention to detail when handling complex legal concepts.

When not serving clients, Carrington is committed to the professional development of current undergraduate students at her alma mater. She is part of the University of Virginia’s Alumni Mentoring system and provides advice to students interested in law school and the legal profession.


J.D., University of Virginia School of Law, 2016, Virginia Journal of Criminal Law, Articles Editor
B.A., University of Virginia, 2012, Echols Scholar
Areas of Practice

Say Something, but to the Right People: Supreme Court Clarifies Definition of “Whistleblower” Under Dodd-Frank
Haynes and Boone, LLP, February 2018

Yesterday, the U.S. Supreme Court significantly narrowed the scope of the Dodd-Frank Act's anti-retaliation measures. The decision resolved a split in authority by excluding from Dodd-Frank's whistleblower protections those persons reporting suspected violations only within their companies. In reversing the Ninth Circuit, the Court held that "Dodd-Frank's anti-retaliation provision does not extend to an individual who has not reported a violation of the securities laws to the SEC...

SEC Office of Compliance Inspections and Examinations Announces Examination Priorities for 2017
Haynes and Boone, LLP, February 2017

The SEC’s Office of Compliance Inspections and Examinations recently announced its 2017 examination priorities for broker-dealers, investment advisers, and investment funds. OCIE, which serves as the “eyes and ears” of the Commission, identified the current staff’s priorities as a focus on (i) matters of importance to retail investors, (ii) risks specific to elderly and retiring investors, and (iii) assessing market-wide risks...

False Claims Act Year in Review 2016
Haynes and Boone, LLP, January 2017

The False Claims Act, 31 U.S.C. §§ 3729, et seq. (FCA) continued to be a significant focus of government and whistleblower activity in 2016. ThisYear in Review highlights several key developments, including:   The U.S. Department of Justice is continuing its strong enforcement of the FCA, including recovering more than $4.7 billion in settlements and judgments in FCA cases in 2016, as well as continuing its focus on individual culpability...

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