All Practices


In the wake of the well-publicized bank and securities scandals, securities regulations are more complicated than ever. Our experienced team knows how to wade through the layers of financial obfuscation and regulatory bureaucracy to represent clients – both plaintiffs and defendants - in these cases. We effectively handle securities matters before judges, juries, and private arbitration panels.  We have also guided clients to efficient settlements that have saved millions in fees and business disruption. 

Our clients include law firms, accounting firms, engineering firms, investors, investment advisors, shareholders, directors, corporations, and executives. We have represented clients in securities litigation involving:

  • Accounting fraud
  • Breach of fiduciary duty
  • Broker-dealer litigation
  • Corporate control
  • Corporate fraud
  • Derivative actions
  • Insider trading
  • Investment brokerage fraud
  • Shareholder fraud

Related Cases

Barlean v. Black & Company, Inc.
Perrin v. Perkins Coie and Advanced Surfaces, Inc., et al. v. Howard Nelson Brady, Jr.
Lewis & Clark College v. Blackwell Donaldson
Oregon Mutual Insurance Company v. Investment Advisor and Broker Dealer
In Re FLIR Systems
Graham v. Trulinger
Barrister Realty Partners v. Agbanc.Ltd.
Confederated Tribes of the Grand Ronde Community of Oregon v. Strategic Wealth Management, Inc., et al.
Go v. Sasquatch Capital LLC, et al.
Capital Consultants Litigation
Guenther v. Pacific Telecom, Inc.
Owyhee River LLC v. Wells Fargo Bank NA, Trustee
The Pape' Group, Inc. v. Powdr Corp., Mt. Bachelor, Inc.