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Jorden Burt LLP

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Jorden Burt LLP 

A Limited Liability Partnership

Miami, Florida Office
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777 Brickell Avenue, Suite 500
Miami, Florida  33131
(Miami-Dade Co.)

Telephone: 305-371-2600
Fax: 305-372-9928
http://www.jordenburt.com



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About this office:

Jorden Burt LLP is a national law firm with more than 80 lawyers focused on providing advice and representation to the financial services, insurance, healthcare, and other related industries. The Firm functions as a strategic team, across industry groups, practice teams and geographic locations with offices located in Washington, D.C., Miami, Florida and Simsbury, Connecticut. The Firm's lawyers are active in relevant professional and industry associations, acquiring the knowledge and maintaining the skills necessary to meet the evolving needs of their clients. Our focus is on assuring a reputation for excellence, integrity, teamwork and an understanding of and service to the needs of our clients.

Long recognized as a pioneer in the creation of innovative financial and investment fund structures and of new insurance and reinsurance products, Jorden Burt is a preeminent defender of the general corporate and financial services industry in market conduct, class action, securities, fraud, contract, trademark, intellectual property, white collar criminal, regulatory and other complex litigation and investigations. The Firm's clients are multinational and domestic corporations, issuers of financial products for businesses, pension plans, and individuals, with distribution through established channels and electronic networks in the United States, Latin America, Asia, Europe, and developing markets around the globe.



 

Statement of Practice Summary:
Appellate and Trial Practice in all Courts, Arbitration, Broker-Dealer, Class Actions, Commercial and Complex Litigation, Copyrights, Consumer Finance, Constitutional Law, Corporate Finance, Communications, Criminal and Civil Fraud, Defamation, Employee Benefits and Executive Compensation, Employment, ERISA, Financial Services and Product Distribution, First Amendment, General Securities, Health Insurance, Information Technology, Insurance Regulatory, Intellectual Property, Intellectual Property Litigation, Internet and e-Commerce, Investment Management, Labor, Life Insurance, Media, Mutual Fund, Pension, Privacy, Private Equity, Property and Casualty Insurance, Registered Financial Products, Reinsurance, Securities Litigation and Enforcement, Securitization, Federal and State Tax, Trademarks, White Collar Crime.

Documents by Lawyers at this office
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Faber v. Metropolitan Life Insurance Company - MetLife's Use of Retained Asset Accounts Is Not A Breach Of Fiduciary Duty Under ERISA
Waldemar J. Pflepsen,Robin M. Sanders,Irma Reboso Solares, August 12, 2011
On August 5, 2011, the Second Circuit Court of Appeals issued its much-anticipated decision in Faber v. Metropolitan Life Insurance Co., affirming thedismissal of the plaintiff's putative class action that alleged MetLife breached its ERISA fiduciary duties by distributing ERISA-governed life...

Revisions to Annuity Disclosure Model Adopted
Ann Young Black,Ann Began Furman,Steven Kass,Kristin A. Shepard, August 12, 2011
On August 3, 2011, the NAIC Life Insurance and Annuities (A) Committee adopted revisions to the Annuity Disclosure Model Regulation, Model 245 ("Annuity Disclosure Model" or "Model"). The revised Annuity Disclosure Model continues to require that consumers be provided a Buyer's...

SEC Adopts Large Trader Registration and Reporting Rule
Karen A. Benson,Edmund J. Zaharewicz, August 12, 2011
On July 27, 2011, the U.S. Securities and Exchange Commission ("SEC") issued a final rule release adopting new Rule 13h-1 and Form 13H under the Securities Exchange Act of 1934 to assist the SEC in identifying, and obtaining trading information on, "large traders." The new rule...




Year Established: 1982


(For complete biographical data on other personnel, see Professional Biographies at Washington, D.C. and Simsbury, Connecticut)



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