Securities Litigation

Securities Litigation

Against an ever-changing financial landscape, securities market participants face complex and diverse challenges. Publicly listed entities, directors, officers, brokers, dealers and representatives encounter a range of risks and opportunities in a demanding regulatory environment.

Over the years, our professionals have advised and represented a broad range of market participants in claims related to alleged misrepresentations in the primary and secondary markets under securities legislation, including in connection with class actions.

In particular, our team handles issues involving disclosure, adequacy of internal controls, financial statement compliance, codes of ethics and business conduct, management practices, and policies. We have also supported reporting issuers in proxy contests.

In connection with securities litigation or other types of disputes, our Securities Litigation team is regularly engaged on cases involving teams spread across multiple jurisdictions requiring national and international coordination.