OUR SECURITIES LITIGATION PRACTICEWe represent clients in a wide variety of securities matters, including fraud and state and federal violations of securities laws.
Our Securities Litigation Practice
We are experienced in representing both plaintiffs and defendants in significant securities litigation matters involving state and federal law. The scope of representation for which we are available includes:
- Violations of the Securities Act of 1933 concerning the issuance of securities
- Fraud and misrepresentation claims under the Securities Exchange Act of 1934
- Fraud and other claims concerning private offerings of securities
- Derivative actions against company officers and directors, including those concerning breaches of fiduciary obligations.
- State securities laws
As Trial Lawyers, We Understand High–Stakes Litigation
Securities claims can often involve millions of dollars, and can threaten the very heart of a company and the reputation of officers and directors. We have successfully litigated numerous complex business matters on behalf of clients, and have achieved successful results both through settlement and at jury trials.
To Learn More About Our Securities Litigation Practice, Please Contact Us