Raines Feldman Littrell’s securities litigation practice is known for handling challenging, high-stakes securities matters that demand a complete range of skills in the courtroom and beyond. Our attorneys have a thorough knowledge of the substantive and procedural laws applicable to all aspects of securities litigation. We are experienced with the issues that arise when a director, officer, or corporation faces a securities class action or derivative-related claims. We have litigated a wide range of securities matters, including options disputes, valuations, initial public offerings (IPOs), mergers and acquisitions (M&A), insurance coverage, tender offers, market manipulation, insider trading, stock options backdating, valuations, fraud, proxy disputes, and non-disclosure cases.
We also represent directors, officers, companies, and other entities in investigations and enforcement proceedings before the SEC and state regulators. We represent corporate clients in litigation involving M&A transactions, including litigation between merging parties, as well as shareholder litigation involving fiduciary duties and disclosure issues. Our attorneys have successfully brought and defended a vast array of claims under federal securities statues and many of the Blue Sky and state law statutes in California, New York, Florida and beyond.