Practice Areas and Services
- Antitrust Litigation
- Securities Litigation
- Shareholder Class Actions
- Shareholder Derivative Matters
- Consumer Protection
- Compliance & Discovery Support
- Claim Monitoring / Recovery Optimization
- Business Valuation / Transactional Antitrust Claim Value
The Firm serves as counsel to its clients in complex commercial litigation in both state and federal courts throughout the nation, with a concentration and emphasis in individual and class action litigation under the federal and state antitrust laws, federal and state securities laws, state consumer protection laws, and other areas of complex commercial litigation.
The Firm also represents plaintiffs and defendants in a broad range of other commercial litigation, including breach of contract litigation, disputes involving business torts and other unfair and deceptive business practices, claims involving alleged breach of fiduciary duty and misuse of corporate assets by corporate officers and directors, and claims involving private and public sector employees with respect to whistleblower protection laws.
The Firm advises individuals, business owners and corporations on matters concerning compliance with federal law such as the Sherman Antitrust Act, the Securities Exchange Act, retention and preservation of antitrust claims and business valuation.
The Firm serves clients that want the benefit of having counsel and want to, or may be a fiduciary required to, maximize recoveries in class action matters, without the exposure, burden and duties of being an actual litigant.
The Firm offers flexible solutions for its clients, offering both hourly fee-based and fully contingency fee-based legal counsel and consulting concerning matters relating to the aforementioned subject areas.
Call us today for a free consultation and learn how we can help serve you.