Rogers Towers' attorneys are experienced in every facet of securities litigation. We represent a broad range of clients, from publicly held companies and their officers, directors, and employees to underwriters, broker-dealers, investment companies, investors, and accountants. Our Securities Group has assisted companies and individuals in virtually all forms of proceedings.
We represent organizations and individuals who have been defrauded or otherwise improperly treated in connection with the purchase and sale of securities. Such claims involve litigation under 10(b) of the Securities Exchange Act and Rule 10b-5, inappropriate or unsuitable recommendations, excessive or unauthorized trading or churning, false or misleading representations, and corporate fraud or mismanagement. We also handle complex derivative securities claims and shareholder disputes involving violations of the federal and state securities laws. Our lawyers are familiar with the rules of the New York Stock Exchange, NASDAQ and the Securities and Exchange Commission, and represent clients in arbitrations and court proceedings throughout Florida and the United States.
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