We regularly represent parties in the full range of private securities-related class actions, including class actions alleging securities fraud under Sections 10(b) of the Securities Exchange Act of 1934 and Rule 10b-5 thereunder and actions under Sections 11, 12(b), and 15 of the Securities Act of 1933. We also have experience representing clients in actions under the Employee Retirement and Income Security Act (ERISA), which frequently are brought in tandem with securities fraud class actions.
Our clients include corporations, corporate officers and directors, financial institutions, and accountants and other outside professionals. We handle matters across the nation involving a wide range of industries. Our experience is recognized by major directors' and officers' liability insurers, who have included our firm on their panel lists of approved counsel for such matters.
If a case proceeds to trial, we have an exceptional track record. Our firm is one of the few in the country with lawyers who have taken a securities class action to jury trial and won a defense verdict that was upheld on appeal.