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Rogers & Hardin

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Rogers & Hardin 

Rogers & Hardin is an Atlanta-based law firm with a national reputation for excellence. Our Corporate and Litigation practices utilize low-leverage, partner-centric staffing, delivering an improved work product and cost efficiencies.

A Limited Liability Partnership

Size of Organization: 50
Year Established: 1987
Main Office: Atlanta, Georgia
Web Site: http://www.rh-law.com

Telephone: 404-522-4700
Facsimile: 404-525-2224



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Antitrust LawBankruptcy Law
Business LawCivil Trial Practice
Corporate LawEmployment Benefits Law
Energy LawReal Estate Law
 
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Martindale-Hubbell has augmented a firm's provided information with third-party sourced data to present a more comprehensive overview of the firm's expertise:
U.S. Federal Litigation Activity
Source: U.S. Federal Civil District Court Databases. Powered by LexisNexis atVantage

Highest number of cases by Rogers & Hardin:
Employee Benefits (10 cases in past two years)
Peer Review Ratings

Total number of Peer Review Rated lawyers of Rogers & Hardin: 22


Documents by Rogers & Hardin on Martindale.com

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Lessons from the SEC’s First “Pretaliation” Whistleblower Enforcement Action
Timothy J. Fitzmaurice,Joshua P. "Josh" Gunnemann, May 22, 2015
On April 1, 2015, the SEC brought the first “pretaliation” whistleblower enforcement action, finding that a confidentiality agreement used by KBR, Inc., a Houston-based technology and engineering firm, violated whistleblower anti-retaliation rules the Commission enacted pursuant to the...

Georgia’s Securities Division Launches New Website For Electronic Form D Filing
Lori A. Gelchion,Robert C. Hussle,Jody L. Spencer, February 18, 2015
The Securities Division of the Georgia Secretary of State’s Office has launched its online Electronic Filing Depository (“EFD”) to be used for the filing of notices of certain exempt securities offerings.

FINRA Regulatory Notice to Members 14-40 ("NTM 14-40")
Stephen D. Councill,Dan F. Laney,Brett A. "Ben" Rogers,Robert H. "Rob" Snyder,Jeffrey W. Willis, December 16, 2014
Last month the Financial Industry Regulatory Authority (“FINRA”) issued a two-part Regulatory Notice to Members 14-40 (“NTM 14-40”). The notice “reminds” member firms that it is a violation of FINRA Rule 2010 (Standards of Commercial Honor and Principles of...






 

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