Whether markets are up or down, investors sue the perceived “deep pockets” of financial service providers and similar large entities. From Massachusetts to Arizona, from Michigan to Texas, it is to the responsive, skilled and sophisticated attorneys of Ulmer & Berne that many of the nation’s major corporations, banks and financial service firms turn to confront and resolve charges of securities fraud, misrepresentation, unauthorized trading or alleged violations of SEC and related regulations, whether lodged as individual suits or class actions. Ulmer & Berne attorneys also represent a variety of clients regularly in regulatory and investigatory proceedings in courts, the SEC, FINRA, NYSE and other state and federal bodies.
Corporate directors and officers turn to Ulmer & Berne for advice on shareholder issues, to resolve governance disputes, and to represent special litigation committees. With backgrounds in federal and state securities agencies and daily experience in the trenches of current securities litigation, our attorneys offer client-centered, practical advice and counsel.
Clients see the strength of the Firm both in its reach across litigation, arbitration and regulatory proceedings and in its size. Ulmer & Berne is large enough to handle any securities litigation matter anywhere in the nation from its four Midwest offices. At the same time, we are small enough to be efficient, responsive and cost-competitive.