The securities sector has seen dramatic changes and increased complexity as a result of the development of new regulations in recent years. These regulatory changes require sophisticated and experienced attorneys who are not only adept at developing strategies to ensure compliance with securities regulations, but who also have the vision to address the business and legal implications that stem from these regulations.
The Conner Law Group has the skill and experience to defend the 10b5, state securities laws or other legal claims alleging securities fraud. The attorneys of The Conner Law Group also possess significant experience directing high-stakes securities litigation matters. Clients can trust that they are represented by counsel who possess the necessary skill and experience to ensure adequate regulatory compliance and the foresight to help develop the strategies that ensure continued business success in spite of these regulations.