证券诉讼与美国证监会执法
丰富的证券与政府业务经验
我们曾协助客户在其面临的所有由大型原告公司发起的证券欺诈集体诉讼和股东衍生案件中胜诉。我们还曾在美国证监会各部门和各州监管机构开展的调查中成功地为客户提供法律咨询服务。
- 我们经常为因并购、公司交易、衍生案件和证券欺诈集体诉讼而面临股东诉讼的企业和个人提供辩护服务。
- 客户可切实受益于我们在各类复杂的行政、民事和刑事类证券和商品执法事务中丰富的调查、起诉、抗辩及庭审工作经验。
- 我们曾协助客户在各个美国证监会部门以及主要的自我监管机构和众多的州监管机构发起的调查中开展成功抗辩。
- 我们对于处理信托义务事务亦有广泛经验。
- 我所多名律师都曾在美国证监会担任高级职务。还有两名律师曾担任纽约南区美国联邦检察官办公室证券欺诈部门的负责人。
Jones Day's global Securities Litigation & SEC Enforcement Practice advises clients on shareholder actions, internal and government investigations, M&A litigation, fiduciary responsibilities, and similar issues affecting large public companies. Practice Co-Leader Henry Klehm III talks about how the Firm serves clients as regulations and their attendant compliance requirements become increasingly complex in jurisdictions throughout the world.
Securities and finance litigation powerhouse for the tenth consecutive year.BTI Litigation Outlook 2022 Report
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