Greenwald Davidson Radbil PLLC | Securities Fraud
Practice Areas

Securities Fraud

The attorneys at Greenwald Davidson Radbil PLLC have substantial experience prosecuting cases of corporate fraud on behalf of investors and pension funds, both on an individual and class action basis. The Firm's attorneys are well-versed in the laws that regulate the securities markets and in the disclosure requirements for corporations that issue publicly traded securities, having prosecuted numerous cases pursuant to Section 10(b) of the Securities Exchange Act of 1934, and Section 11 of the Securities Act of 1933. The Firm has played significant roles in obtaining substantial recoveries on behalf of investors in securities fraud class actions.

The Firm has been involved in prosecuting a number of securities fraud class actions, including:

City of Ann Arbor Employees' Retirement System v. Sonoco Products Co., et al., in the District of South Carolina ($13 million settlement);

In re Evergreen Ultra Short Opportunities Fund Sec. Litig., in the District of Massachusetts ($25 million settlement).

Representing Third-Party Witnesses:

The Firm has significant experience representing former employees of companies being sued for securities fraud. The Firm represents witnesses throughout the investigatory and discovery processes, including representing third-party witnesses and whistleblowers during interviews and depositions.