Securities Litigation

Donald Clarks Attorneys represents broker-dealers, financial advisors, public and private companies, directors, and other clients in litigation and arbitration related to violations of federal and state securities laws, RICO claims, broker-dealer claims, insider trading, fraud, breach of fiduciary duty, and negligence. We also defend our clients in parallel proceedings such as SEC and FINRA enforcement actions.

Contact us online or by calling +1(305) 481-9477 to schedule your free consultation today to find out how we can assist you.