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Securities Industry

Ernest Badway and Joshua Horn


"The complex problems associated with securities and financial institution litigation and compliance require unique solutions. We will work to understand your issues and help you seek out the best solution possible."
    Joseph M. Pastore III, Ernest Badway and Joshua Horn Chairs, Securities Industry Practice

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Overview

The highly regulated securities and financial industry has a host of complex problems. Financial institutions often find themselves on the receiving end of audits, investigations and other compliance issues. That is where Fox Rothschild’s Securities Industry practice group can help.

Our attorneys have handled hundreds of arbitrations, SEC, SRO, and state investigations. We represent financial institutions, registered broker-dealers, insurance companies, financial advisors, hedge funds and individuals in the securities, commodities and insurance industry, private and public, regulatory and governmental inquiries, investigations, and civil and criminal litigation. We also assist individuals and business entities in the establishment of broker-dealers, hedge funds, investment advisers and other financial service institutions.

Our attorneys have handled complex civil and criminal matters in state and federal courts. We have also helped resolve a variety of issues through alternative dispute resolution. We help our clients respond to requests from the SEC or other self-regulatory organizations and vigorously defend our clients from notice to trial or arbitration. When faced with regulatory matters – including SEC investigations, state securities investigations, and more – we have helped our clients achieve results quickly and cost-effectively. Working closely with our White Collar Compliance & Defense Practice, we offer a comprehensive defense against criminal matters as well.


Learn more about our services and meet our attorneys.

 

 

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National Survey on Restrictive Covenants


At A Glance:
· Represent broker-dealers, insurance companies, financial advisors, banks, hedge funds and individuals
· Provide compliance and internal investigation services
· Defend civil and criminal claims on a national basis


Desk Reference (pdf file)
Private Equity and Hedge Funds: Regulatory Analysis and Structural Overview


Practical Advice Pieces (pdf files)
· Crisis Management and Communications Services


Related Practice Areas:
· Corporate
· Corporate Securities
· Labor & Employment
· Litigation
· White Collar Compliance & Defense