Securities

Our lawyers have extensive experience in securities litigation and investigations, representing executives, directors, officers, corporations, investment companies and investment advisors in litigation, before the SEC and Massachusetts regulators and in internal investigations.  In the mutual fund area, we have represented well-known mutual funds and independent trustees in class action litigation, executives in investigations over practices such as market timing and a special litigation committee of a family of major mutual funds as Massachusetts counsel.  We take pride in the excellent results we have achieved for our clients in litigation and in the aftermath of investigations.  Although securities matters are often very complex, we focus on assessing our clients’ situation, coordinating closely and efficiently with other players as appropriate and in our client’s interest, and securing the best result for our client.

The range of matters in which we have experience span the Investment Company Act of 1940, Section 10(b) and other claims under the Securities Exchange Act of 1934, the Foreign Corrupt Practices Act, claims related to public offerings under the Securities Act, the Investment Advisers Act of 1940 and fraud related claims arising under state law.  We also handle shareholder or partnership derivative cases raising issues such as breach of fiduciary duty, waste and professional liability.

 

Matters we have handled for clients include the following: