Christopher Robins’ practice focuses on U.S. bank regulatory matters, as well as corporate and financial transactions.

Christopher advises U.S. and international financial institutions on bank regulatory issues, including the permissibility of activities under Regulation Y and the Volcker Rule, investments by and in banking organizations, control matters, and compliance obligations. He also advises on the application of U.S. trade sanctions to international transactions.

Christopher joined the firm in 2015.