SEC Enforcement
Representative SEC Investigations
The firm represents individuals and entities in SEC investigations throughout the nation. Our experience includes:
Financial Fraud
Representation of:
- issuers, officers, directors and employees in investigations relating to alleged financial fraud with respect to SEC filings, shareholder reports and press releases
Insider Trading
Representation of:
- issuers in investigations relating to alleged leaks to investors of negative information which was subsequently publicly disclosed
- institutional investors who allegedly traded on information gleaned from corporate officials or securities analysts prior to the public dissemination
- various individuals (officers, directors, venture capitalists) with respect to certain challenged trades
Manipulation and Registration
Representation of:
- issuers and individuals in investigations relating to the alleged offer or sale of unregistered securities
- issuers who have been victimized by short-sellers
Regulated Entities
Representation of:
- investment advisers with respect to issues arising in SEC inspections
- mutual fund account managers with respect to possible utilization of alleged investment opportunities of funds
- investment companies in investigations relating to valuation and pricing of portfolios
- transfer agents and custodians in investigations relating to various issues
- investment companies and advisers with respect to adequacy of compliance procedures
- broker-dealers and branch managers in "failure to supervise" investigations