Securities Litigation

The Securities and Corporate Governance Litigation Practice Group handles a wide range of securities-related matters involving litigation before judicial and regulatory bodies. Attorneys in this practice group represent individual officers, directors, shareholders and members, as well as public and private companies, in connection with claims involving violations of federal and state securities laws, fraud, breach of fiduciary duties, bad faith, and other similar claims arising from complex commercial transactions such as real estate investment trusts, public and private offerings, and mergers and acquisitions. We also have extensive experience and expertise representing individuals and brokerage firms in securities-related lawsuits and arbitrations involving federal and state regulatory agencies and self-regulating organizations such as FINRA. Our attorneys are experienced litigators, but bring a result-oriented approach to every matter that we handle, focusing on the needs and objectives of our clients so as to provide the highest quality of service in the most efficient and cost-effective manner