Securities & Regulatory

In securities and regulatory litigation the Firm’s attorneys are known for cases involving business insolvencies, merger and proxy disputes, executive compensation and options and insider trading enforcement actions.

Our clients include both publicly and privately traded corporations and individuals as well as clients in the prosecution and defense of class actions. Mr. Krum and the attorneys on his team prosecute and defend cases in state and federal courts around the country and guide clients through investigations conducted by the SEC and the U.S. Department of Justice. We are efficient, yet thorough, in our approach to investigating allegations of earnings and stock price manipulation, accounting and trading irregularities, and other issues. Even when facing tough opposition, we have maintained a superior track record of obtaining extremely favorable out-of-court settlements for our clients.