IconImage
Securities Litigation
Our securities litigation practice brings the experience of having litigated throughout the nation major securities fraud actions, derivative actions, and insider trading cases. Our practice group includes attorneys with experience working for the SEC, and with the Department of Justice on securities cases, including in the Southern District of New York’s Securities and Commodities Fraud Unit. In cases that often pose issues of criminal and civil liability, we benefit from our group’s real understanding of both the criminal process and complex civil litigation, and how the two interplay. We also draw on our firm’s specialized knowledge of securities law and corporate governance.

Representative matters as principal counsel include:

  • Irvine v. ImClone Systems, et al.(S.D.N.Y.), In re Gliatech Securities Fraud Litigation (N. D. Ohio)
  • In re Priceline Securities Fraud Litigation (D. of Conn.)
  • SEC v. Materia (S.D.N.Y.)
  • Nicholson, et al. v. N-Viro International Corp, et al (N.D. Ohio)