Lack of regulation and oversight has opened the floodgates of potentially abusive corporate behavior. Unfortunately, the leaders of some of the largest corporations choose to use this relaxed structure to hide the risks they have assumed, the problems those risks create for their companies, and the resulting losses to their investors. We seek to ensure that corporate officers and directors fulfill their responsibilities of full disclosure and transparency to those buying and selling their securities so that the prices investors pay reflect take into account accurate information that should underlie every commercial transaction.
We represent individuals and institutional investors in a broad range of cases involving various securities ranging from publicly traded stocks to securities offered in private placement transactions. Our attorneys have vindicated the claims of investors, and in addition to the monetary recoveries, our attorneys also have prevailed in litigation that resulted in permanent changes in the law and corporate governance policies that will prevent future misconduct.