Christopher Dyke

Partner

Londres

Chris is a fraud, white collar crime and regulatory litigation lawyer.
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About Christopher

Bio
  • Biografía

    Chris is a fraud, white collar crime and regulatory litigation lawyer.

    He has extensive experience advising clients in a variety of sectors on a wide range of regulatory and criminal matters including investigations and prosecutions brought by the SFO, the FCA, Competition and Markets Authority (CMA), HM Revenue & Customs (HMRC) and the Crown Prosecution Service (CPS). 

    Chris has recently advised in proceedings involving allegations of misconduct in the financial services industry, conspiracy to defraud, bribery, insider dealing, market abuse, export control & trade sanctions as well as complex confiscation and restraint issues including cash seizures. 

    He represented a number of individuals charged by the FCA with insider dealing as part of Operation Tabernula, the FCA’s largest ever investigation into insider dealing and in the US/UK LIBOR investigations conducted by the SFO, FCA and Department of Justice with other US regulators.  He also acted for a senior manager of a multi-national construction company charged by the SFO with corruption offences relating to the payment of bribes to foreign public officials in connection with large scale public engineering projects.

    In relation to competition law, Chris represented a senior manager of a multinational company in one of only three prosecutions of criminal cartel offences by the CMA to date. 

    Chris has achieved particular success negotiating with prosecutors on the disposal of criminal proceedings at an early stage, including under The Attorney General’s Guidelines on Plea Discussions in Cases of Serious or Complex Fraud and the Serious Organised Crime and Police Act 2005.

    In 2010, Chris worked in the General Counsel’s Division of the Financial Conduct Authority, where he was involved in advising on public, regulatory and financial services law relating to policy and supervision within the regulation of the financial services industry.

    Chris was called to the Bar in 2007 and cross-qualified as a solicitor with a leading boutique white collar crime firm, Corker Binning, in 2011.  He was made a Senior Associate in 2017 and joined DAC Beachcroft in 2018.

Sector Expertise
  • Servicios financieros

  • Seguros

Service Expertise
  • Resolución de litigios

  • Fraude de siniestros

Office Location

Londres

  • 25 Walbrook
  • Londres
  • EC4N 8AF

+44 207 242 101122

Articles

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Empleo

4 min read

Failure to prevent fraud offence now in force

Servicios financieros

5 min read

New corporate criminal offence of failure to prevent fraud – what should financial services firms be doing now?

Servicios financieros

3 min read

Skilled person review

Servicios financieros

10 min read

FCA proposes fundamental changes to its Enforcement Policy

Especialidades sectoriales

6 min read

Updated LMA sanctions clauses: avoiding unintended exposure as the geopolitical tectonic plates continue to shift

Seguros

5 Min Read

Automatic Unfair Dismissal and Covid-19

Seguros

5 min read

Avoid being sanctioned for breaching sanctions – navigating the new rules

Artículo

9 min read

UK Sanctions – The Evolving Response to the Russian Invasion of Ukraine and what it means for UK businesses

Seguros

5 min read

Corporate Criminal Liability – What potential law reforms could mean for D&O Insurers

Seguros

5 Min Read

Exposures under the Pensions Schemes Act 2021 for auditors and accountants