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Financial Services

Securities Litigation

Butzel Long's securities litigation team understands the complexities of regulated and unregulated securities and bank products, and we represent financial institutions when these things become involved in high-stakes litigation. We understand intricate, financial structures, we assess risk, and we guide clients to effective resolutions to their matters.

Our team represents broker-dealer firms, hedge funds, investment advisory firms, investment banks, mutual funds, other registered funds, and their directors, officers, and executives in securities-related regulatory matters. We guide clients through investigations and proceedings brought by FINRA, the SEC, and regulatory agencies created under the 1933 and 1934 Acts, the Investment Company Act of 1940, the Investment Advisors Act of 1940, the Commodity Exchange Act, and state securities laws.

Experience

Represented a senior officer of an integrated energy company in securities fraud and ERISA breach of fiduciary duty litigation.
Represented auto supplier in securities fraud investigation in New York and California.