Our Banking and Securities team has perceptible understanding of the banking and securities industry and what our clients’ needs are. This division of the Firm assists clients with complex issues involving securities law and personal or commercial banking issues. We provide advice and legal services to investors, traders, shareholders, industry professionals. Our lawyers facilitate mergers and acquisitions, regulatory matters, partnerships and litigation. The team also handles the litigation pertaining to securities and represents the clients who need a solution for regulatory enforcement matters, shareholder derivative suits, internal investigations, professional liability and many other securities related issues.
Additionally, we also offer our services as consultants, board members, counsels, and retainers to help our clients in managing full spectrum of securities disclosure and compliance matters.