Darren J. Robbins

The strength of our commitment to excellence is reflected in our unmatched record of success.
- (619) 231-7423
Overview
Darren Robbins is a founding partner of Robbins Geller Rudman & Dowd LLP. Over the last two decades, he has served as lead counsel in more than 100 securities class actions and has recovered billions of dollars for injured shareholders.
Robbins has obtained significant recoveries in a number of actions arising out of wrongdoing related to the issuance of residential mortgage-backed securities, including the case against Goldman Sachs ($272 million recovery). Robbins also served as co-lead counsel in connection with a $627 million recovery for investors in In re Wachovia Preferred Securities & Bond/Notes Litig., one of the largest credit-crisis settlements involving Securities Act claims. Robbins also recently served as lead counsel in Schuh v. HCA Holdings, Inc., which resulted in a $215 million recovery for shareholders.
One of the hallmarks of Robbins’ practice has been his focus on corporate governance reform. In UnitedHealth, a securities fraud class action arising out of an options backdating scandal, Robbins represented lead plaintiff CalPERS and was able to obtain the cancellation of more than 3.6 million stock options held by the company’s former CEO and secure a record $925 million cash recovery for shareholders. Robbins also negotiated sweeping corporate governance reforms, including the election of a shareholder-nominated director to the company’s board of directors, a mandatory holding period for shares acquired via option exercise, and compensation reforms that tied executive pay to performance. Recently, Robbins led a shareholder derivative action brought by several pension funds on behalf of Community Health Systems, Inc. The case yielded a $60 million payment to Community Health (the largest recovery ever in a shareholder derivative action in Tennessee and the Sixth Circuit), as well as groundbreaking corporate governance reforms that included two shareholder-nominated directors, the creation and appointment of a Healthcare Law Compliance Coordinator, the implementation of a compensation clawback in the event of a restatement, the establishment of an insider trading controls committee, and the adoption of a political expenditure disclosure policy.
Robbins was named California Lawyer Attorney of the Year and has been recognized as one of the nation’s top securities litigators by numerous organizations and publications. He has been named one of the “Top 100 Lawyers Shaping the Future” by the Daily Journal and one of the “Young Litigators 45 and Under” by The American Lawyer. The American Lawyer commended him for helping “set the pace for [his] peers,” and Chambers USA called him “a prominent figure in the field of securities litigation” and “one of the leaders of the plaintiff Bar.”
Robbins is a frequent speaker at conferences and seminars around the world on securities litigation and corporate governance reform. He advises institutional investors in the United States, the United Kingdom, Canada, the Middle East, Asia and the European Union.
Robbins was awarded Bachelor of Science and Master of Arts degrees in Economics from the University of Southern California, and received his Juris Doctor degree from Vanderbilt Law School.
Honors
- Local Litigation Star, Benchmark Litigation, 2013-2018
- Best Lawyer in America, Best Lawyers®, 2010-2018
- Leading Lawyer in America, Lawdragon, 2006-2007, 2009-2018
- Super Lawyer, 2013-2018
- Lawyer of the Year, Best Lawyers®, 2017
- Litigator of the Year, Our City San Diego, 2017
- Leading Lawyer, Chambers USA, 2014-2017
- Recommended Lawyer, The Legal 500, 2011, 2017
- Recognized as one of the Top 50 Lawyers in San Diego, Super Lawyers Magazine, 2015
- Recognized as one of the Top 100 Lawyers Shaping the Future, Daily Journal, 2008
- Recognized as a Young Litigator 45 and Under, The American Lawyer, 2007
- 2003 Attorney of the Year Award, presented by California Lawyer, March 2004
Practice Areas
- Institutional Investor Services
- Case Evaluation & Litigation
- Corporate Governance
Education
- Vanderbilt School of Law, J.D., 1993
- University of Southern California, M.A., 1990
- University of Southern California, B.S., 1990
Admissions
- California
- United States Supreme Court
- United States Courts of Appeals for the Second and Ninth Circuits
- United States District Courts for the Northern, Central and Southern Districts of California
- United States District Court for the District of Colorado
- United States District Court for the Eastern District of Wisconsin
Notable Cases
Notable Cases
- Alaska Elec. Pension Fund v. CitiGroup, Inc. (In re WorldCom Sec. Litig.)
- Central Laborers’ Pension Fund v. Chellgren (Ashland)
- City of Pontiac General Employees’ Retirement System v. Langone (Home Depot)
- In re Community Health Systems, Inc. Shareholder Derivative Litigation
- In re Enron Corp. Sec. Litig.
- In re UnitedHealth Grp. Inc. PSLRA Litig.
- In re Wachovia Preferred Securities and Bond/Notes Litig.
- Luther v. Countrywide Financial Corporation
- NECA-IBEW Health & Welfare Fund v. Goldman Sachs & Co.
- Schuh v. HCA Holdings, Inc.
- Schwartz v. TXU Corp.
News
- April 10, 2018
- April 2, 2018
- March 30, 2018
- March 20, 2018
- March 19, 2018
- February 8, 2018
- January 25, 2018
- January 16, 2018
- December 19, 2017
- November 1, 2017
- October 31, 2017
- October 23, 2017
- September 12, 2017
- August 15, 2017
- July 28, 2017
- June 7, 2017
- May 31, 2017
- May 30, 2017
- May 15, 2017
- April 27, 2017
- April 24, 2017
- April 21, 2017
- January 27, 2017
- January 24, 2017
- January 20, 2017
- January 19, 2017
- January 10, 2017
- December 19, 2016
- November 9, 2016
- November 2, 2016
- October 21, 2016
- October 13, 2016
- September 19, 2016
- August 17, 2016
- August 16, 2016
- June 16, 2016
- May 27, 2016
- May 23, 2016
- May 17, 2016
- May 2016
- May 3, 2016
- April 22, 2016
- April 1, 2016
- February 24, 2016
- February 11, 2016
- January 20, 2016
- January 12, 2016
- January 6, 2016
- December 21, 2015
- November 10, 2015
- November 9, 2015
- October 16, 2015
- October 9, 2015
- September 28, 2015
- August 5, 2015
- June 15, 2015
- May 19, 2015
- May 14, 2015
- April 21, 2015
- March 24, 2015
- March 5, 2015
- February 2, 2015
- November 17, 2014
- November 6, 2014
- October 30, 2014
- October 7, 2014
- September 22, 2014
- September 4, 2014
- July 5, 2014
- May 22, 2014
- May 1, 2014
- April 28, 2014
- April 16, 2014
- March 4, 2014
- January 17, 2014
- November 5, 2013
- October 23, 2013
- October 7, 2013
- July 12, 2013
- June 4, 2013
- May 1, 2013
- April 11, 2013
- January 30, 2013
- November 15, 2012
- July 19, 2012
- June 7, 2012
- May 16, 2012
- April 19, 2012
- October 17, 2011
- August 5, 2011
- June 1, 2011
- April 19, 2011
- August 24, 2010
- July 21, 2010
- June 11, 2010
- January 2, 2010
- September 19, 2008
Publications
Publications
- Darren J. Robbins, Reining in Unicorns: Protecting Pensioners and Entrepreneurs From Fraud, The Recorder, Apr. 9, 2018.
- Darren Robbins, James Jaconette & Michael Albert, After Cyan: Creative Lawyering Can’t Displace Clear Statute, Law360, Mar. 26, 2018.
- Travis E. Downs III, Benny C. Goodman III, Jay P. Lefkowitz, Erik W. Luedeke, Darren J. Robbins & Matthew Solum, Chapter 4: Mediation Submissions by Plaintiffs and Defendants, in Financial Services Mediation Answer Book 4-1 (Layn R. Phillips et al. ed., 2017)