Securities Litigation
The firm's attorneys in this group are recognized for their skills and substantial history in representing individuals and companies in actions involving violations of state and federal securities laws, common law fraud, and breach of fiduciary duty claims, including class actions, shareholder derivative actions, and employment cases involving claims of wrongful termination and defamation. These cases have been litigated both in court and in arbitration under the rules and procedures of the Financial Industry Regulatory Authority (FINRA), formerly the National Association of Securities Dealers (NASD), stock exchanges and the American Arbitration Association. In addition, the firm's attorneys have extensive experience in regulatory matters before the state, the U.S. Securities and Exchange Commission and FINRA.
Practice Group: Cecil Morris; Paul L. Vorndran
Practice Group Contact: cmorris@pwhclaw.com
Practice Group: Cecil Morris; Paul L. Vorndran
Practice Group Contact: cmorris@pwhclaw.com
