Practice Areas
Securities Fraud Litigation in Federal and State Courts
“Opt Outs” to Class Action Securities Litigation
FINRA Arbitration
SEC litigation
Unfair Trade Practices
Unfair Insurance Practices
Bad Faith Insurance Company Conduct
Violation of Consumer Protection Laws
RICO Act (Racketeer Influenced and Corrupt Organizations Act)
Officer/Director Liability
Contract Disputes
Breach of Fiduciary Duties
Life Insurance Litigation
Adversary Bankruptcy Actions
Broker/Dealer/Investment Adviser Fraud
Real Estate Investment Litigation
Fraudulent Transfers / Fraudulent Conveyances