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Securities Litigation2020-08-18T20:50:46-05:00

Increasing regulatory oversight in business and financial sectors means more and more businesses are affected by securities-related legal issues. Boyd, Powers & Williamson has a multifaceted securities litigation practice that helps clients navigate securities law and compliance issues.

Our team provides compliance guidance and defends business interests from regulatory scrutiny from agencies including the Financial Industry Regulatory Authority (FINRA) and the Securities and Exchange Commission (SEC), as well as state and federal litigation. Because this is an area of law that is increasingly complex and subject to change with economic forces and regulatory priorities, it’s critical that a legal team has the background and legal expertise to navigate the legal landscape.

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