Jay N. Varon is a partner and litigation lawyer in the firm's Washington D.C. office. Jay has litigated a broad cross-section of commercial cases around the country, including matters relating to the Real Estate Settlement Procedures Act (RESPA) and other federal and state consumer financial services laws, as well as cases involving antitrust, unfair competition, deceptive trade practice, trade secrets, environmental, business tort, securities fraud, and products liability issues.
Many of Jay’s cases involve the defense of class actions or other high stakes matters as well as proceedings before administrative agencies like the Consumer Financial Protection Bureau (CFPB) or Federal Trade Commission (FTC).
RESPA and Other Consumer Financial Services Experience
A niche area of Jay’s practice involves defending and counseling real estate clients (i.e., real estate brokers, MLS’s, mortgage brokers and lenders, mortgage, title, and hazard insurers, home warranty companies, title agents) with respect to consumer finance, fair lending, UDAAP, and related issues, including those involving the establishment of affiliated business arrangements and joint ventures under RESPA.
Jay is regularly involved in representing such clients on forming compliant arrangements and defending other clients in investigations, and enforcement proceedings before the CFPB, HUD/FHA, and/or state agencies and departments of insurance.
Representative Consumer Financial Service Cases
Other similar representations have resulted in favorable rulings or class settlements, including in cases under TILA and FCRA, as well as the defense of a major mortgage insurer in a series of nationwide RESPA class actions involving captive reinsurance.
Consumer Financial Industry Amicus Briefs
Jay has authored a number of amicus briefs on issues of importance to members of the consumer financial industry, including in PHH Corp v. CFPB, No. 15-1177, U.S. Court of Appeals for the D.C. Circuit (arguing against CFPB Director Cordray’s interpretation of RESPA Section 8(c) and RESPA statute of limitations); Spokeo v. Thomas Robins, No. 13-1339, U.S. Supreme Court (re no-injury class actions); Carter v. Wells Bowen Realty, 736 F.3d 722 (6th Cir. 2013) (re interpretation of HUD sham joint venture guidelines); Freeman v. Quicken Loans, Inc., 132 S.Ct. 2034 (2012) (re meaning of RESPA 8(b) and markup claims), among other cases.
Jay has an active antitrust litigation and counseling practice. He is currently representing HomeServices of America in two antitrust class actions alleging anticompetitive practices in the residential real estate industry. He has served as lead counsel for one of the two defendants in two antitrust and consumer protection MDL cases, as well as an FTC investigation regarding activities in the propane distribution business. Jay also represents various clients, including some consumer finance clients (e.g., mortgage and title insurers), in antitrust and related regulatory investigations before the Federal Trade Commission, the Department of Justice, state Departments of Insurance, as well as before state district attorneys and attorney generals.
Jay has obtained favorable results in CERCLA cases following several federal bench trials and in summary judgment decisions. In one such case that went to trial, Jay’s utility client was absolved from liability at 12 different Manufactured Gas Plant (MGP) sites, a result that was affirmed on appeal. See Yankee Gas Servs. Co. v. UGI Utils., Inc., 428 Fed. App’x 18 (2d Cir. 2011). Jay obtained a successful result in a related allocation trial concerning an additional site. See Yankee Gas Servs. Co. v. UGI Utils., Inc., 852 F. Supp. 2d 229 (D. Conn. 2012). Another case yielded a favorable ruling following a bench trial in South Carolina. See South Carolina Elec. & Gas Co. v. UGI Utils., Inc., 2012 WL 1432543 (D.S.C. Apr. 11, 2012). See also Consol. Edison Co. of New York v. UGI Utils., Inc., 153 F. App’x 749 (2d Cir. 2005); Atlanta Gas Light Co. v. UGI Utils., Inc., 463 F.3d 1201 (11th Cir. 2006) (each affirming summary judgment rulings for the defendant).
Other Complex Litigation Experience
Jay served as lead counsel for an energy client in sixteen different consumer fraud and deceptive practices class actions that were consolidated for pretrial proceedings and discovery by the Multidistrict Panel on Litigation and then resolved via settlement.
Jay is a magna cum laude graduate of the Wharton School of the University of Pennsylvania. He attended Stanford Law School, where he was an articles editor of the Stanford Law Review and graduated Order of the Coif. Following law school, he was a law clerk to the Honorable Robert F. Peckham, Chief Judge of the United States District Court for the Northern District of California in San Francisco.
Jay has written several amicus briefs for industry trade associations in such cases as: Spokeo v. Robins, (Article III Standing); Carter v. Wells Bowen Realty (RESPA and Rule of Lenity); PHH v. CFPB (Authority of CFPB and interpretation of RESPA Section 8). Additionally, he has authored many publications on regulatory and litigation issues including: “China Agritech: The Supreme Court Ends Class Action Stacking," (2018); "Justices Scrutinize The Pros and Cons of Extending American Pipe Tolling," (2018); “A Response To the CFBP’s Recent Compliance Bulletin on MSAs;” “RESPA Primer on Joint Ventures and Affiliated Business Arrangements;” “Guide to Section 8 of RESPA for Settlement Service Salespersons;” “Promoting Settlements and Limiting Costs By Means of the Offer of Judgment: Some Suggestions for Using and Revising Rule 68, 33 Am. U. Law Rev. 813 (1984);” among others.