Our practice spans many different areas of the industry, including regulation, compliance, enforcement, consulting, arbitration, litigation and internal investigations. As a result, we represent a range of organizations engaged in providing broker-dealer, investment advisory, investment banking, investment company, capital markets and banking services, with clients including national, regional and local broker-dealers, as well as investment advisers, dually registered firms, municipal advisors, municipal securities dealers, bank dealers, banks, capital markets groups, investment companies, investment managers and funds.
 
            We have represented broker-dealers and investment advisers throughout the country in customer disputes related to a vast array of securities transactions including those involving private placements, alternative investments, REITS, EB-5 offerings, CDOs, municipal and corporate bonds, variable annuities, mutual funds, ETFs, and various other equity, debt, insurance, derivative, and hedge related products involving the following types of claims:
	- Unsuitability
 
	- Selling away
 
	- Unauthorized trading
 
	- Churning
 
	- Offering fraud
 
	- Common law fraud and misrepresentation
 
	- Breach of fiduciary duty
 
	- Failure to Supervise
 
We also have substantial experience representing industry firms and their associated persons in regulatory inquiries, examinations and enforcement proceedings involving the following, among other things:
	- Forms ADV, BD, U4, and U5 disclosure issues
 
	- Outside business activities and private securities transactions
 
	- Selling away
 
	- Research
 
	- Pricing
 
	- Suitability and disclosure issues related to complex products and private placements
 
	- Due diligence related to private placements
 
	- Mutual fund share-class issues
 
	- Insider trading
 
	- Violations of gift and entertainment rules and policies
 
	- Fee overcharges
 
	- AML issues
 
	- Cybersecurity matters
 
	- Reg S-P compliance
 
	- State/Federal, SRO registration and licensing issues
 
	- Internal investigations
 
	- "Wells" submissions
 
Additionally, our attorneys have handled employment related matters for broker-dealers, investment advisory firms, and other financial service organizations, including matters involving the following:
	- Raiding cases and other transition disputes
 
	- Non-solicitation agreements, non-compete agreements and garden leave provisions
 
	- Form U4 and Form U5 disclosures
 
	- Employee and independent contractor classification
 
	- Forgivable loans and promissory notes
 
	- Employee exemptions under the Fair Labor Standards Act
 
	- Trailing commissions, bonuses and other incentive compensation
 
	- Discrimination, diversity, and equal pay sensitivities
 
	- Mandatory vacation policies
 
	- Social media policies and bring your own device policies
 
	- Whistleblower protections and awards
 
	- Employment terminations and dispute resolution
 
	- Settlement and separation agreements
 
	- FINRA arbitrations
 
	- Form U5 expungement proceedings