Attorney Profile

Mr. Wing prosecutes and defends commercial litigation matters. He is experienced in disputes involving contracts, intellectual property and claims under ERISA. He has represented plaintiff classes in several class action matters. His principal focus is serving as receiver or counsel to receivers. He has been appointed as receiver in SEC v. Capital Acquisitions, LLC, SEC v. 4NExchange, FTC v. Infusion Media, SEC v. Smart Assets and SEC v. VesCor Capital. He has served as counsel to the receiver in SEC v. Merrill Scott and SEC v. Impact Cash.

Mr. Wing has been recognized in Chambers USA in Litigation: General Commercial (Band 4), and maintains an AV Preeminent (5.0) rating with Martindale-Hubbell, which is the highest rating awarded to attorneys for professional competence and ethics.  He has been selected for inclusion in Mountain States Super Lawyers in the category of Business Litigation (2011-2016).  Mr. Wing has also been voted by his peers throughout the state as one of Utah’s “Legal Elite,” as published in Utah Business Magazine (2013-2017).

Education

  • University of California, Berkeley, Boalt Hall School of Law, J.D., 1984
  • Pomona College, B.A., cum laude, 1981

Prior Professional Experience

  • Shareholder, Prince, Yeates & Geldzahler, P.C., 1984-2005; 2008-2014
  • Of Counsel, Holland & Hart, 2005-2008

Admitted to Practice

  • Utah, 1984

Affiliations / Memberships

  • National Association of Federal Equity Receivers, Former President
  • Federal Bar Association, Utah Chapter, Board of Directors

Publications / Presentations

  • Presenter, “Recent Changes in Fraudulent Transfer Law,” American Bankruptcy Institute Annual Rocky Mountain Bankruptcy Conference, Denver, Colorado, January 26-27, 2017
  • Presenter, “Alternatives to Bankruptcy,” Turnaround Management Association, January 17, 2017
  • Panelist, “Receiver Training Camp,” Fifth Annual NAFER Conference, Washington, D.C., October 13, 2016
  • Panelist, “Advanced Fraudulent Transfer Issues,” Fourth Annual National Association of Federal Equity Receivers (NAFER) Conference, October 15-17, 2015
  • Panelist, “The Court Just Appointed a Receiver: Now What?,” Securities Section of the Utah State Bar Annual Conference, August 7, 2015
  • Author, “Utah’s White Collar Crime Offender Registry: A Tool for Investors and Employers,” The Enterprise, June 2015
  • Presenter, “Attorney and Auditor Liability for Assisting the Ponzi Scheme Perpetrator: Whether or Not They Knew What They Were Doing,” National Association of Federal Equity Receivers (NAFER) Annual Conference, October 2013
  • Presenter, “First Day Issues: What to Do When You Get the Call,” National Association of Federal Equity Receivers (NAFER) Annual Conference, September 2012
  • Presenter, “Butch Cassidy and the Sundance Kid: Ponzi Schemers and Their Modern-Day Pursuers, Part One of Two, Rocky Mountain American Bankruptcy Institute Annual Conference
  • Co-Author with Katherine Norman, “SEC Receivers: What Are They and What Do They Do,” Utah Bar Journal, November 2, 2008

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