Jeremy Colvin is a commercial litigator who handles complex business disputes in a variety of contexts, including, but not limited to, securities litigation/arbitration, commercial foreclosures, lender liability claims, partnership disputes, enforcement of covenants not to compete and other restrictive covenants, breach of contract claims, employment litigation, general insurance defense matters, condominium/homeowners’ association litigation, premises liability, and legal malpractice.
Jeremy frequently handles cases before the Financial Industry Regulatory Authority (FINRA) where he defends brokerage firms, registered representatives, and financial advisors in customer disputes, including claims of breach of fiduciary duty, negligence, fraud, violations of state and federal securities laws, churning, unauthorized trading, over-concentration, and unsuitability. He also represents brokerage firms and registered representatives in cases involving employee raiding, non-competition agreements, non-solicitation, wrongful termination, promissory notes, and other employment-related disputes.