Securities Litigation

Securities Litigation

Our firm excels in securities class actions, professional liability cases, and regulatory investigations. This service provides access to our innovative strategies and client-focused approach to achieve favourable outcomes in complex corporate governance and financial fraud issues.

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Lewis & May achieves remarkable results in securities class actions, derivative suits, professional liability cases, regulatory investigations, and white-collar matters. Our practice focuses on complex assignments in the corporate governance and securities arena, including special board committees, disputes over mergers and acquisitions, and advice to companies about complex disclosure and accounting issues. We present innovative briefings and arguments, and are creative in our application of economics and finance principles to legal problems.

 

Our Expertise in Securities Litigation

 

  • Client-Focused Strategy: We bring a client-focused approach to a wide range of civil, criminal, and administrative engagements, looking at each case individually and adopting the strategy best suited to advance our client’s needs and goals.
  • Innovative Application of Principles: Our team is creative in its application of economics and finance principles to legal problems, resulting in favourable outcomes for our clients.
  • Broad-Spectrum Expertise: We address serious and important financial fraud issues, including market manipulation, asset valuation, going-concern determinations, and the full spectrum of revenue recognition issues.
Cost

Initial Consultation, Per Hour

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