Not exact matches
His practice covers a broad array of subject
matters, including constitutional law, sovereign immunity,
arbitration, enforcement of arbitral awards, business litigation,
securities fraud, criminal law, and intellectual property.
Mark Astarita is a
securities attorney who represents investors and financial professionals across the country in their
arbitration, litigation and regulatory
matters.
Ms. Conroy has worked on a variety of
securities and commercial
matters in federal and state courts, as well as in private
arbitration and mediation.
He also handles cases involving corporate litigation, shareholders» disputes and insolvency
matters, defamation cases, domestic and international
arbitration cases, cybersecurity, data
security and privacy law issues, competition law
matters, e-Discovery and forensic investigation issues as well as property litigation.
In addition to acting in trials and
arbitrations (both led and unled), Tom has considerable experience in interlocutory
matters (including freezing injunctions, specific disclosure, summary judgment and
security for costs applications),
arbitration enforcement claims and appeals.
Darryl Graham — Litigation Practice Group, Miami Darryl Graham focuses his practice on complex commercial litigation,
securities litigation, domestic and international
arbitration disputes, and appellate
matters.
As a
securities litigation consultant, Greg Amoroso serves broker - dealers and insurance companies by working with the firm's attorneys to develop compliance and business strategies in
securities litigation,
arbitration and regulatory
matters.
In his litigation and
arbitration practice, Eric has represented clients in
matters including international - trade disputes,
securities class actions, IP litigation, and commercial disputes.
Handling large, complex litigation
matters in federal and state courts, as well as
arbitration disputes for clients ranging from start ‐ ups and small businesses to Fortune 500 companies, the lawyers from Taube Summers represent clients in banking, insurance, real estate,
securities, technology, energy, manufacturing, construction, professional services, entertainment and other industries.
Prior to joining Levin Papantonio, Ms. Dunning practiced with Haskell Slaughter Young & Rediker in Birmingham, Alabama, where her nationwide civil litigation practice concentrated on
securities matters in state and federal courts as well as AAA and FINRA
arbitration.
Steve has handled well over 1,200
securities litigation and employment
matters in federal and state courts, and in
arbitrations before the NYSE, NASD, FINRA, and AAA.
Weber brings a broad
securities litigation practice, representing clients in a diverse array of matters including securities class actions, shareholder derivative actions, proceedings initiated by the Securities and Exchange Commission and other regulatory authorities, internal corporate investigations, arbitrations and other complex commercial l
securities litigation practice, representing clients in a diverse array of
matters including
securities class actions, shareholder derivative actions, proceedings initiated by the Securities and Exchange Commission and other regulatory authorities, internal corporate investigations, arbitrations and other complex commercial l
securities class actions, shareholder derivative actions, proceedings initiated by the
Securities and Exchange Commission and other regulatory authorities, internal corporate investigations, arbitrations and other complex commercial l
Securities and Exchange Commission and other regulatory authorities, internal corporate investigations,
arbitrations and other complex commercial litigation.
Leo represents clients in
securities arbitrations, regulatory actions and employment
matters.
In a career spanning over 36 years, Mr. Ramos has achieved over $ 5 billion in monetary recoveries for his clients, obtained injunctive relief in numerous
matters, and successfully defended hundreds of clients in defeating claims asserted, on an individual or class basis in court and regulatory proceedings and
arbitrations, in IP, antitrust,
securities, products liability, environmental, executive compensation, employee benefits, contract, warranty, insurance, corporate control, merger, hostile takeover, real estate, landlord - tenant, oil and gas, auction, tax, and theatrical and art law disputes.
A partner in the Litigation Department, Jacqui handles a broad variety of complex commercial litigation
matters, including antitrust disputes, direct and indirect class actions, insurance and
securities arbitrations, regulatory investigations and complex contract
matters.
The San Francisco office's
securities group represents banks, major financial services firms and broker - dealers on Wall Street and in California in federal and state class actions,
securities arbitrations, regulatory investigations, enforcement actions and related
matters.
Unless the parties have agreed otherwise, the tribunal may: order a claimant to provide
security for costs in the
arbitration (section 38 (3)-RRB-; give directions relating to property which is the subject
matter of the proceedings or as to which any question arises in the proceedings (section 38 (4)-RRB-; direct a party or witness to be examined (section 38 (5)-RRB-; or give directions for the preservation of evidence (section 38 (6)-RRB-.
On the appellate side, he has prepared merits briefs, petitions for certiorari and amicus briefs before the US Supreme Court and numerous federal appellate courts in cases involving
arbitration, banking, constitutional, commercial, insurance, intellectual property and
securities matters.
We have litigated
matters implicating virtually every aspect of the financial services industry, including complex class actions and consumer litigation, international
arbitration, white collar
matters,
securities law and regulation, IP, and sophisticated commercial disputes unique to the financial services industry.
Illustrative of his practice, Whit has successfully represented public companies, audit committees, and senior officers of public companies in
securities litigation, derivative litigation, internal investigations of alleged corporate wrongdoing, whistleblower matters, and matters before the Securities and Exchange Commission; international arbitration between a foreign prime contractor and its U.S. suppliers; trade secret litigation relating to the processing of big data; and debarment litigation arising out of contracts performed in Af
securities litigation, derivative litigation, internal investigations of alleged corporate wrongdoing, whistleblower
matters, and
matters before the
Securities and Exchange Commission; international arbitration between a foreign prime contractor and its U.S. suppliers; trade secret litigation relating to the processing of big data; and debarment litigation arising out of contracts performed in Af
Securities and Exchange Commission; international
arbitration between a foreign prime contractor and its U.S. suppliers; trade secret litigation relating to the processing of big data; and debarment litigation arising out of contracts performed in Afghanistan.
Adam T. Rabin is an AV - rated attorney who focuses his practice on representing businesses and individuals in complex commercial litigation
matters,
securities arbitrations, and qui tam actions.
Crowe & Dunlevy president Roger Stong told The Oklahoman that the merger with Day Edwards would bolster his firm's expertise in
securities arbitration, banking, and employment
matters.
Tim has represented clients in the federal and state courts and in domestic and international
arbitrations on a wide variety of business issues including disputes arising in connection with the merger, acquisition, sale or purchase of business entities, contract disputes,
securities, trade secret and unfair trade practice claims, privacy and cyber tort
matters, technology and software disputes, partnership and shareholder disputes, corporate governance, and employment disputes.