Moses & Singer

Securities Litigation

Our Securities Litigation attorneys have considerable experience serving as counsel to companies issuing or underwriting securities and providing advice on all aspects of U.S. and international securities regulation. Investment banks, brokerage firms and issuers also regularly call upon the Group for matters involving civil securities cases in state and federal courts, as well as for matters of regulatory enforcement and internal compliance. We are frequently retained to conduct internal investigations concerning significant potential liability, such as insider trading and broker-dealer regulation.

The Group represents public companies and their officers and directors in class actions, individual suits by securities holders, derivative lawsuits and Securities and Exchange Commission investigations. Another significant focus is the representation of underwriters, law firms, accountants, and other professionals in misrepresentation and negligence actions relating to securities issuances and transactions.

We draw upon the extensive skills and knowledge of seasoned securities transaction lawyers, as well as lawyers in the White Collar Criminal Defense and Government Investigations practice group.

For more information please contact us.

Prior results do not guarantee a similar outcome.

Overview

Our Securities Litigation attorneys have considerable experience serving as counsel to companies issuing or underwriting securities and providing advice on all aspects of U.S. and international securities regulation. Investment banks, brokerage firms and issuers also regularly call upon the Group for matters involving civil securities cases in state and federal courts, as well as for matters of regulatory enforcement and internal compliance. We are frequently retained to conduct internal investigations concerning significant potential liability, such as insider trading and broker-dealer regulation.

The Group represents public companies and their officers and directors in class actions, individual suits by securities holders, derivative lawsuits and Securities and Exchange Commission investigations. Another significant focus is the representation of underwriters, law firms, accountants, and other professionals in misrepresentation and negligence actions relating to securities issuances and transactions.

We draw upon the extensive skills and knowledge of seasoned securities transaction lawyers, as well as lawyers in the White Collar Criminal Defense and Government Investigations practice group.

For more information please contact us.

Prior results do not guarantee a similar outcome.

 

© 2017 Moses & Singer. All Rights Reserved.