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Ken Rivlin

Partner

New York

Rivlin Ken
Ken Rivlin

Partner

New York

Ken is Global Co-Head International Trade and Regulatory Law Group, and heads the firm’s Global Environmental Law Group. He and his team advise on environmental and regulatory risk in M&A, projects, capital markets, lending and real estate transactions, compliance with U.S. and EU environmental and regulatory requirements (such as the WEEE and RoHS Directives and REACH), conflict minerals, emissions trading and climate change, environmental disputes, toxic tort risk, SEC disclosure requirements and corporate governance issues. Ken and his team also advise on the U.S. Foreign Corrupt Practices Act, U.S. and international economic sanctions, Exon-Florio and similar matters.

Ken has served on numerous bar committees, is a member of the Committee of the Cyrus R. Vance Center for International Justice, a member of the Editorial Board of "Environmental Liability", a Lecturer-in-Law at Columbia University School of Law and an Adjunct Professor at the Benjamin N. Cardozo School of Law. He writes and speaks frequently on environmental and regulatory matters. He is also a Trustee at Montclair Kimberley Academy, and a board member for the Blacksmith Institute and the Human Needs Food Pantry of Montclair, NJ.

Ken is widely recognized as a leading international lawyer. Chambers USA describes him as “‘knowledgeable and great to work with,’...‘he's among the most creative, entrepreneurial and pragmatic environmental lawyers,’” and Legal 500 notes that “Ken is one of ‘the best environmental deal lawyers’ and has ‘very comprehensive’ knowledge of environmental issues, covering ‘directives, exemptions, and jurisdictions.’” Who’s Who Legal states that Ken is “internationally recognized for his work and ‘the first port of call’ for many clients in relation to environmental and regulatory risk in all types of transactions, as well as compliance and disputes.”

Office

New York

Allen & Overy LLP
1221 Avenue of the Americas
New York
NY 10020

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Qualifications

Professional

Admitted: Bar of the State of New York, 1997

Admitted: Bar of the State of New Jersey, 1995

Academic

J.D., cum laude, Boston University, 1994

B.A., Brown University, 1987

Published work

  • 'The REACH of Europe's Regulatory System:  New Era Begins for Registration and Assessment of Chemicals', New York Law Journal, P. 9, July 14, 2008,  by Kenneth Rivlin, Felise Cooper, Matthew Townsend and Rebecca Lawson
  • 'WEEE and RoHS Directives: New Requirements Impacting the Global Supply Chain of the High-Tech Industry,' American Competitiveness Institute, August 2005, with Jean-Philippe Brisson and David Wharwood
  • 'Preparing for the WEEE Directive,' Circuits Assembly, April 2005, with Jean-Philippe Brisson and David Wharwood
  • 'Proposed Rule Changes to Federal Civil Procedure May Introduce New Challenges in Environmental Class Action Litigation,' Harvard Environmental Law Review, Volume 27, Number 2, (July) 2003, with Jamaica Potts
  • 'Not So Fast: The Sealed Air Asbestos Settlement and Methods of Risk Management in the Acquisition of Companies with Asbestos Liabilities,' 11 NYU Environmental Law Journal, July 2003, with Jamaica Potts
  • 'Rising Environmental Stakes in Europe—The New Environmental Laws Applicable to Electrical and Electronic Equipment and What They Mean for High-Tech Companies,' AeA and Allen & Overy, April 2003
  • 'The Precautionary Principle Under U.S. Law,' 11 Environmental Liability 1, February 2003, with Jean-Philippe Brisson
  • '2002 Annual Report, Environmental, Energy & Resources Law: 2002 Year in Review 227,' 2003 (summary of recent developments in parent corporation liability), with Valerie Vena and the American Bar Association Environmental Transactions, Audits and Brownfields Committee
  • 'Atlantic Coast May End State Waste Flow Scheme,' New Jersey Law Journal, March 13, 1995

News & insights

Publications: 23 SEPTEMBER 2019

Allen & Overy reinforces commitment to climate action by hosting a “Getting to Zero Coalition” working session

On Tuesday, September 24th Allen & Overy hosted the Getting to Zero Coalition’s strategy group meeting following the launch of the Coalition at the UN Secretary General’s Climate Action Summit on Monday September 23rd. 

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Publications: 18 JULY 2019

U.S. continues aggressive sanctions and anti-money laundering enforcement against non-U.S. banks

When assessing anti-money laundering risk and exposure, global financial institutions should be mindful of the complex landscape and assertions of broad authority by U.S. authorities and banking regulators. A multinational financial institution with a U.S. branch may find its worldwide activities scrutinized by U.S. banking regulators even if its branch does not service those activities, and what’s more, even without a U.S. branch, a bank may still have civil or criminal U.S. exposure for payments cleared in the United States.

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Publications: 13 DECEMBER 2018

Loan documentation and sanctions - Russia: developments at the forefront

Banks and borrowers active in the Russian loan market have been remarkably adept in dealing with the challenges posed by sanctions and, having been at the forefront of the only major world economy subject to U.S. and EU sanctions, in developing sophisticated contractual protections with respect to sanctions. Indeed, many of the contractual protections developed in the Russian loan market are now commonly cited as best practice and rolled out on loan transactions in others parts of the world.

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Publications: 22 NOVEMBER 2018

CFIUS Creates New Pilot Program for Mandatory Declarations

On August 13, 2018, Congress expanded the authority of the U.S. Treasury Department’s Committee on Foreign Investment in the United States (CFIUS) to review certain transactions resulting in non-US control of US assets, businesses or technologies.

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