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BurgherGray attorneys represent issuers, underwriters, officers and directors, and other parties in securities litigation matters. Our practice encompasses defense of SEC enforcement actions, shareholder litigation, and securities fraud class actions.
We advise clients facing investigations by the SEC and FINRA, responding to subpoenas and document requests, preparing for testimony, and negotiating resolutions with regulators. Our securities litigation practice also includes advising audit committees and special committees in connection with internal investigations and derivative demand response.
Our securities litigation team includes attorneys with experience defending SEC enforcement actions and securities class actions at major law firms. Team members have handled matters involving accounting restatements, insider trading, and disclosure violations.
Public companies and their officers and directors, audit committees and special committees, underwriters and placement agents, broker-dealers, investment advisers, and individuals facing SEC or FINRA proceedings.
Our securities litigation clients include public companies, financial institutions, directors and officers, and other parties subject to securities laws and regulations.