Securities litigation is one of our most active practice areas. Our lawyers have represented parties in several of the largest and most complex securities matters of the past decade, including the Adelphia, CSX, KPNQwest, Lehman, Parmalat, Madoff and MF Global matters. We have broad experience in both individual and class action litigation involving alleged violations of the securities laws, as well as evaluating and assisting with minimizing the litigation risks at the decision-making stage of corporate actions. Our team also has the rare distinction of having successfully tried a federal securities fraud class action to a jury verdict.
Our securities clients include banks and investment firms, public companies, hedge funds, mutual funds, boards of directors, and individual officers and directors. Our lawyers regularly handle AAA, JAMS and FINRA arbitrations, as well as disputes regarding broker-dealer matters, compliance issues and credit derivatives.