Securities and Shareholder Litigation
SNR Denton has broad experience representing
corporate and individual clients in securities and shareholder
litigation, including class actions.
Clients turn to us for assistance with a wide
range of matters, including fraud and corporate misconduct
allegations, investigations and enforcement proceedings conducted
by regulatory bodies including the SEC and the FSA, cases alleging
violations of the Racketeer Influenced and Corrupt Organizations
(RICO) Act, and arbitration proceedings and related litigation
under the rules of the Financial Industry Regulatory Authority
(FINRA) and its predecessors.
We also have extensive experience handling
grand jury motion practice, negotiations with government
authorities and parallel criminal and civil investigations,
frequently involving securities fraud charges.
Areas of Focus:
- Class actions
- Grand jury motion practice
- Fraud and corporate misconduct
- SEC enforcement proceedings
- Investigations by various regulatory bodies
- Arbitrations and related litigation
- Corporate control contests