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Keesal, Young & Logan represents firms and individuals in securities arbitration,
litigation and regulatory matters. For the last 30 years, we have tried and arbitrated
thousands of cases for major brokerage firms, investment banks, regional firms,
discount brokerages, investment management firms and bank-owned brokerage firms.
No firm in the country has tried and arbitrated as many securities disputes during
the last three decades.
Keesal, Young & Logan also frequently represents senior executives, brokers and
other registered personnel when they require individual representation.
The cases
range from multi-district class actions, SEC and SRO investigations and enforcement
actions, collection matters, and employment litigation, to a wide variety of customer
disputes. Keesal, Young & Logan also represents issuers and corporate executives
in securities matters relating to public offerings, regulatory investigations, contractual
disputes, private placements and shareholder litigation.
Keesal, Young & Logan has extensive experience in SEC and other securities enforcement investigations.
In addition to our broad experience and depth of talent in civil securities matters, the Keesal, Young & Logan securities practice team includes former federal and
state criminal prosecutors
from our white-collar criminal defense team that can assist in insuring that both
civil and criminal risks and exposures are competently addressed. Keesal, Young & Logan’s combined
securities and white-collar
practice group makes our firm ideally suited to handle
the most complex securities matters.
The firm's attorneys appear in federal and state courts, SRO arbitration forums,
administrative hearings and federal and state agencies across the United States.
For additional information, please contact:
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