Securities Litigation and Enforcement
Our lawyers are active in every major area of securities litigation and enforcement. We regularly represent clients in federal and state courts, as well as before regulatory organizations, throughout the Gulf South and elsewhere. We represent public and private companies, broker-dealers, investment banks, investment advisors, and hedge funds, as well as their respective officers, directors and employees, in class action suits, multidistrict litigation, and arbitration. We likewise have substantial experience representing both companies and individuals in regulatory proceedings brought by the Department of Justice, the SEC, FINRA, and other self-regulatory organizations. Additionally, our lawyers frequently appear on panels addressing securities issues, write law review articles on securities topics, and have taught securities litigation and arbitration at Tulane University Law School for more than 20 years.
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