Financial services companies face unprecedented challenges as they navigate today’s complex and often turbulent economic and regulatory environment. In order to meet these challenges, companies need direct access to the right resources when resolving legal issues and achieving business objectives.
CSG’s Securities Litigation & Enforcement team meets that need with the knowledge and experience required to handle the tougher issues facing the financial services industry. Our attorneys provide each client with the tailored resources and counsel necessary for a successful outcome.
We advise broker-dealers, private banks, investment banks, commercial banks, investment advisers, hedge funds, clearing firms and others on a broad range of litigation-related and regulatory matters—including responding to regulatory investigations and inquiries; internal investigations; enforcement of restrictive covenants and trade secrets, as well as assertion of unfair competition claims; defense of investment-related claims and resolution of information security issues.
Our practice is augmented by direct access to colleagues across CSG’s diverse range of disciplines – including white collar criminal defense, employment, bankruptcy, tax, mergers and acquisitions and ERISA.