Collin Phillips represents clients in white collar and regulatory enforcement investigations, with a particular focus on matters involving securities and financial services laws. Mr. Phillips regularly advises clients facing complex, multi-regulator investigations, including matters involving the SEC, DOJ, FINRA, Federal Reserve Board, state attorneys general, and others. Mr. Phillips has represented clients in investigations concerning a wide range of subject matters, including insider trading, accounting fraud, financial reporting irregularities, anti-corruption, sanctions, anti-money laundering, and price-fixing and market allocation. Prior to joining WilmerHale, Mr. Phillips worked as an associate at another international law firm in Washington DC. Prior to obtaining his law degree, Mr. Phillips was a law clerk for the US Civilian Board of Contract Appeals and taught English in South Africa as part of the US Department of State Fulbright Program.
Collin T. Phillips
Awarded Practice Areas
Litigation - Securities
Biography
Locations
Education
- The George Washington University, J.D., graduated 2017
- Saint Edward's University, BA, Communication, Rhetorical and Cultural Studies, graduated 2012
Bar Admissions
Client Testimonials
Awards & Focus
Recognized in Best Lawyers: Ones to Watch® in America 2026 for work in:
- Litigation - Securities
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