-
5.0/5.0 Review for Adam Brouillet by a Managing Partner on 11/01/16 in Commercial Litigation
-
5.0/5.0 Review for Catherine DiPaolo by a Associate on 09/08/16 in Commercial Litigation
Insurance
Our Securities Law Group is experienced in helping clients understand and comply with securities laws. Their experience covers all phases of raising capital and a broad range of securities disciplines, including:
- Securities Registration Exemptions
- Investment Adviser Registration and Regulation
- Broker Dealer Regulation
Securities laws may impact you in a variety of ways. For example, securities laws are involved when you raise investors’ funds to start or grow your own or another person’s business or when you tell investors what to do with their money. Securities laws are involved not only in the offer and sale of traditional “securities” such as stocks and bonds, but they also may be involved with unusual investment arrangements, including rental condominiums and even orange groves. There are numerous federal and state securities laws that form a sometimes confusing web of laws, regulations and regulatory bodies. Successful compliance is often complicated and highly technical. Serious consequences await securities law violators, including regulatory sanctions and personal financial liability. Aggravated situations may result in criminal penalties.
We assist in dealings with the various securities regulators, including the United States Securities and Exchange Commission (SEC), the Financial Industry Regulatory Authority (FINRA), the Florida Office of Financial Regulation (Florida Division of Securities) and other state securities regulators and stock exchanges, such as the New York Stock Exchange (NYSE) and the National Association of Securities Dealers Automated Quotation System (NASDAQ).
Also, we help clients who have been the victims of securities fraud, assisting them when litigation is needed to secure a proper remedy.
We do not view securities law issues in isolation from other business law matters. Rather, we deal with securities law issues as an integral part of the legal and business life cycle of growing companies. We believe this viewpoint and our broad experience helps us to recognize the key issues, anticipate problems and help assist our clients achieve successful results. Each of our senior securities and corporate attorneys has worked in the Securities Group for at least a decade and, in some cases, far longer. The result is that we have a core of seasoned securities lawyers who combine judgment and maturity borne of experience with substantive legal expertise.
5.0/5.0 Review for Adam Brouillet by a Managing Partner on 11/01/16 in Commercial Litigation
5.0/5.0 Review for Catherine DiPaolo by a Associate on 09/08/16 in Commercial Litigation
By clicking on the "Submit" button, you agree to the Terms of Use, Supplemental Terms and Privacy Policy. You also consent to be contacted at the phone number you provided, including by autodials, text messages and/or pre-recorded calls, from Martindale and its affiliates and from or on behalf of attorneys you request or contact through this site. Consent is not a condition of purchase.
You should not send any sensitive or confidential information through this site. Emails sent through this site do not create an attorney-client relationship and may not be treated as privileged or confidential. The lawyer or law firm you are contacting is not required to, and may choose not to, accept you as a client. The Internet is not necessarily secure and emails sent though this site could be intercepted or read by third parties.