Since the passing of Sarbanes Oxley in 2002 and the 2008 financial meltdown, the regulation and litigation of the financial industry have only increased. Coburn & Greenbaum is uniquely positioned to handle all manner of securities regulation and litigation. Our deep trial experience allows us to represent corporate directors and officers in Securities and Exchange Commission (SEC) enforcement proceedings, derivative actions, and other financial services regulation and litigation. We offer clients a trial oriented approach that provides the most effective questioning of witnesses in internal investigations, negotiating with the SEC, the Justice Department, or state attorneys general, and ultimately doing the hard work of motions practice and trying the case.
We represent corporations and individual officers and directors in securities class actions, derivative lawsuits, and government investigations in state and federal courts nationwide.