Overview
Our experienced securities litigation attorneys have litigated across the country in major FINRA Arbitrations, securities fraud actions, derivative actions, insider trading cases, and federal and state securities enforcement actions. Our practice group includes attorneys with experience working for the SEC and the Department of Justice on securities cases. If your case poses the issue of criminal and civil liability, you’ll benefit from our group’s understanding of both the criminal process and complex civil litigation, and how the two interplay. Our attorneys expertise includes advising insurance carrier clients on issues of global and per claim liability of major securities fraud cases and the ability to execute defensive strategies necessary to mount a successful defense and to the mitigation of losses.
Related Areas
Experience
- Irvine v. ImClone Systems, et al.(S.D.N.Y.), In re Gliatech Securities Fraud Litigation (N. D. Ohio)
- In re Priceline Securities Fraud Litigation (D. of Conn.)
- SEC v. Materia (S.D.N.Y.)
- Nicholson, et al. v. N-Viro International Corp, et al (N.D. Ohio)
- In re: WorldCom, Inc. Securities Litigation
- In re: Enron Corporation Securities Litigation
- In re: King Pharmaceuticals, Inc. Securities Litigation
- In re: CP Ships, Ltd. Securities Litigation
- In re: Impath Securities Litigation
- In re: Salesforce.com Securities Litigation
- In re: Applied Digital Securities Litigation
- In re: Morgan Stanley and Van Kampen Mutual Funds Securities Litigation
- In re: Dreyfus Mutual Funds Fee Litigation
- In re: Mutual Fund Investment Litigation
- Represented Special Litigation Committee in connection with review of conduct of securities offering
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