We have substantial experience representing individuals, corporations and their directors and officers, and other professionals in securities litigation, including representation of:
  • Issuers in class action securities litigation and derivative litigation


  • Directors and officers in negligence and breach of fiduciary duty litigation


  • Law firms and accountants in financial fraud and misrepresentation cases


  • Corporate officers and professionals in SEC investigations and white collar criminal proceedings


  • Shareholders, general partners, and corporations in control contests, corporate governance and proxy litigation


  • Involvement in claims against brokers and brokerage firms


Mark S. Auerbacher
Robert C. Grady

Mathai Jacob
John R. Squitero