PRACTICE AREAS


Greg Jaeger’s practice focuses in the areas of government contracts, export controls, international trade sanctions, government investigations and the Foreign Corrupt Practices Act (FCPA) and related anti-corruption laws. He concentrates his practice in the areas of counseling, M&A transactions, investigations and trial and appellate litigation.

Mr. Jaeger has over 20 years of experience in representing both foreign and domestic clients in government contracts matters. He provides counsel on a range of issues involving the award, formation and performance of government contracts and, in particular, assists companies in addressing the numerous government contracting issues that can arise in connection with M&A transactions. These issues can include contractual compliance and performance, novations, organizational conflicts of interest, procurement integrity, small business/socio-economic programs, subcontracts and teaming agreements, government rights in IP and technical data, suspensions/debarments, and terminations for convenience and default. He also works with the firm’s Real Estate Practice Group on GSA leasing issues.

Mr. Jaeger handles government contracts litigation, including pre- and post-award protests, claims and terminations, False Claims Act (FCA) matters, Fifth Amendment takings, and complex damages claims against the government. In addition to working as a trial and appellate lawyer in private practice, Mr. Jaeger served as a trial and appellate attorney for the United States Department of Justice in the Commercial Litigation Branch in Washington, DC, where he represented the United States and numerous Federal agencies in commercial litigation matters before the United States Court of Appeals for the Federal Circuit, the United States Court of Federal Claims and the United States Court of International Trade and was awarded a Special Commendation Award.

Mr. Jaeger’s previous experience as a trial attorney for the Justice Department enables him to provide clients with unique insight and capabilities in negotiating with, and litigating against, the government. He is well versed in all aspects of FCA litigation: from the defense of companies in the initial stages of an FCA suit, including responding to agency subpoenas and Department of Justice Civil Investigative Demands, conducting internal investigations regarding FCA allegations, strategically employing early motions practice regarding the unique elements of FCA claims, to dismissal of allegations asserted against a company. His experience also includes the conduct of, and the defense against, written discovery, fact and expert witness depositions and trial before the Court or jury.

In FCA cases that are initiated by private individuals (known as qui tam relators), Mr. Jaeger has litigated the unique issues that arise from these suits and in developing the particular defenses that the FCA statute provides against such suits. He has not only defended large corporate clients against both government-initiated FCA suits and qui tam suits, but has also prosecuted such suits on behalf of the Department of Justice. This experience on “both sides of the aisle” provides clients with unique insight and capabilities in defending against FCA allegations.

Mr. Jaeger also has trial and appellate experience in state court litigation, and in litigating complex commercial matters before various federal district and appellate courts, including the U.S. Supreme Court.

Mr. Jaeger has represented both foreign and domestic clients in export control and trade sanctions matters, including compliance with the International Traffic in Arms Regulations (ITAR), the Export Administration Regulations (EAR), the trade sanctions/embargo regulations administered by the Office of Foreign Assets Control (OFAC), the Anti-Boycott Regulations administered by the Department of Commerce and the Foreign Corrupt Practices Act. He also has worked with clients in resolving Committee on Foreign Investment in the United States (CFIUS) and national security issues. 

Mr. Jaeger’s experience in these areas includes compliance counseling and reviews, the development and implementation of compliance programs, classification and licensing issues, voluntary disclosures, due diligence reviews and investigations of individuals and corporate entities, conducting internal investigations and defending against government investigations. In the M&A arena, Mr. Jaeger has conducted dozens of due diligence reviews/investigations in each of the above areas, from both the buy and sell side.

REPRESENTATIVE MATTERS

  • Representation of German multi-national corporation before CFIUS and the Directorate of Defense Trade Controls in connection with the German corporation’s $5 billion acquisition by a Chinese corporation, the largest acquisition of a German company by a Chinese investor, and the first Chinese corporate acquisition of a publicly traded German company.
  • Representation of a major Italian industrial group operating globally in aerospace, defense and security sectors; advice and counsel concerning U.S. national security regulatory approvals for acquisitions.
  • Representation of major British defense company in numerous acquisitions of U.S. national security contractors, including a $1.8 billion acquisition.
  • Representation of a major U.K. electronics firm in its acquisition of several U.S. defense businesses.
  • FCPA investigations, training and compliance programs.
  • Export-control matters before the U.S. Departments of State and Commerce.
  • Trade sanctions matters before the U.S. Department of the Treasury, OFAC and OFAC Compliance Programs.

SPEECHES & EVENTS

  • Moderator, “Anticipating and Navigating Government Review of Tech Transactions,” Licensing Executives Society (LES) 2017 Spring Meeting, Washington, DC, May 10, 2017
  • Speaker, "The Annual Aerospace & Defense Acquisitions Roundtable," Washington, DC, April 19, 2016
  • Speaker, Special Briefing for Embassy of the United Kingdom, Washington, DC, February 26, 2016
  • Speaker, U.S. Legal Implications of Foreign Direct Investment for Chinese CEO’s, Washington, DC, September 23, 2015
  • Speaker, "Legal and Regulatory Issues that Make the Defense Sector Unique," The Defense Industry in a Time of Change, New York City Bar Association, March 27, 2014

PUBLICATIONS

  • Co-author, "China On Top:  China Dominates CFIUS Reviews for Third Year in a Row," Stroock Special Bulletin, February 19, 2016
  • Co-author, "When Is Your Tax Return a False Claim to the Government?" Stroock Special Bulletin, January 13, 2016
  • Co-author, "What Real Estate Cos. Need To Know About CFIUS Reviews," Law360, January 5, 2016
  • Co-author, "CFIUS and The Waldorf Astoria," Stroock Special Bulletin, December 21, 2015
  • Co-author, "More CFIUS Cases are Going to Full Investigation," Stroock Special Bulletin, March 5, 2015
  • Co-author, "2014 Regulatory and Compliance Ups and Downs - Developments of Interest to Foreign Investors and Others in the National Security Sector," Stroock Special Bulletin, January 26, 2015
  • Co-author, "New Rule Requires Reporting Foreign Investment in U.S. Businesses and Real Estate: Reporting Deadline for 2014 is January 12, 2015," Stroock Special Bulletin, December 18, 2014
  • Co-author, "Preserving Attorney-Client Privilege in Internal Investigations: Risks and Challenges Remain After D.C. Circuit’s High-Profile Decision in Barko," Stroock Special Bulletin, October 14, 2014
  • Co-author, "FCPA Diligence In Infrastructure Transactions," Law360, August 4, 2014
  • Co-author, "When is a Corporate Officer a 'Foreign Official'? Under the FCPA, a Foreign Corporation Can Still Be a Government Instrumentality. Does the Distinction Matter?" Stroock Special Bulletin, June 30, 2014
  • Co-author, "FCPA Diligence in Infrastructure Transactions," Stroock Special Bulletin, June 26, 2014
  • Co-author, "Defense Department Publishes Interim Final Rule Detailing Its Process for Clearing Contractors under Foreign Ownership, Control, or Influence," Stroock Special Bulletin, April 23, 2014
  • Co-author, "Issues Relevant to the Defense Industry in the Bankruptcy Context," Stroock Special Bulletin, March 26, 2014
  • Co-author, "Why the Penn State Scandal Happened - and How to Keep Other Scandals From Happening," Forbes.com, July 20, 2012

ADMITTED TO PRACTICE

District of Columbia

Various Federal Courts of Appeals and District Courts; U.S. Supreme Court


CLERKSHIPS

Law Clerk, U.S. District Court, District of Colorado, 1988-1989


EDUCATION

J.D., University of Denver Sturm College of Law, 1988

B.A., Dartmouth College, 1981

PUBLICATIONS

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