Companies and financial institutions rely on us for representation and guidance on high-stakes matters involving securities law.
We represent clients in high-profile, complex securities litigation in federal and state courts, as well as in nonpublic securities enforcement and internal compliance matters. Companies seek our advice on claims including those relating to accounting irregularities, M&A-related issues, IPO-related issues, allegedly false or misleading statements, and data breaches and other cybersecurity issues.
Boards of directors and corporate executives call on us for strategic advice related to securities law. Our lawyers represent clients in connection with evaluating and responding to shareholder demands, and we are frequently retained to conduct internal investigations relating to allegations of breach of fiduciary duties, insider trading and other misconduct.