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The Association of Corporate Counsel (ACC) is the world's largest organization serving the professional and business interests of attorneys who practice in the legal departments of corporations, associations, nonprofits and other private-sector organizations around the globe.

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July 23, 2019 | 12:30 PM - 2:00 PM

Davis Polk & Wardwell, 8th Floor, The Hong Kong Club Building, 3A Chater Road

Overview (Program Summary)

A program hosted by:

ACC Hong Kong

The ACC Hong Kong Board of Directors invites you to the following presentation, hosted by Davis Polk & Wardwell.

  Lewis Silkin

 

 

Food and drinks will be provided. 1 Law Society of Hong Kong CPD point has been applied for. New York and California Approved Jurisdiction policy may apply.

As background to the current controversy over the Fugitive Offenders Ordinance, join Davis Polk lawyers, Martin Rogers and Chen Zhu, in a discussion of the current state of the extradition law and process in Hong Kong and China.  This will provide relevant information and highlight the differences between jurisdictions where extradition arrangements are already in place, both in China and in Hong Kong, and the proposed amendments to the FOO.  The presenters will also discuss recent cases from New Zealand and Sweden where extradition to China has been resisted.


Speakers

Martin Rogers

Martin Rogers, Partner

Mr. Rogers is a partner in Davis Polk’s Litigation Department, based in Hong Kong. His practice includes complex litigation, dispute resolution, regulatory, white collar crime and fintech/regtech matters, with extensive experience advising leading corporates, the financial services industry and government bodies.  Mr. Rogers has a strong relationship with the regulators in Hong Kong and substantial experience with securities and banking regulators in other Asian countries, including China, India, Japan, Korea, Singapore.

Chen Zhu

Chen Zhu, Counsel

Mr. Zhu is counsel in Davis Polk's Litigation Department. He represents multinational corporations, financial institutions and individuals in cross-border regulatory enforcement and internal investigations relating to the Foreign Corrupt Practices Act, U.S. economic sanctions, anti-money laundering, market manipulation, securities fraud and related governance and compliance advice.

 

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