Dorsey’s Securities Litigation and Enforcement practice group has attorneys throughout the U.S. who are experienced in handling cases ranging from the defense of complex class actions and derivative suits to broker-customer and broker-broker disputes. Lawyers in this group are recognized for their solid history in representing national and regional financial institutions, broker/dealers, and underwriters, as well as issuers, directors and officers, and individuals in a wide variety of financial and securities matters.
Dorsey has represented hundreds of financial institutions, including banks, broker/dealers, underwriters, insurance companies, accounting firms, and financial advisors, as well as stockholders, bondholders, corporations, members of boards of directors, corporate officers, limited partnerships, general partners and individuals in a wide variety of complex civil and criminal securities lawsuits and in Securities and Exchange Commission and other government and self regulatory organization investigations.
The Securities Litigation and Enforcement group has litigated extensively under state and federal securities laws, and has broad experience in the prosecution and defense of class actions.
Dorsey attorneys in the Securities Litigation and Enforcement practice group are also members of the Firm’s Trial Group, and regularly handle all aspects of trial and appellate work. Our attorneys have extensive experience in alternative forms of dispute resolution, including arbitration, mediation, summary jury trials, and other ways of quickly resolving disputes.
Please contact us for more information on how the Securities Litigation and Enforcement practice group can provide assistance to you.