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Commonly Asked Questions about Securities Law

Securities law and related legal issues can be very complicated. If you own a company, you may have legal documents to be drafted or reviewed by an experienced attorney familiar with mergers and sec filings.
Securities litigators represent individuals and corporations in securities class actions, stock-drop cases, and derivative actions. The work is in some ways similar to criminal defense work, determining what your client has done, whether it violates securities regulations, and how to defend the case.
The law that regulates securities is one of the most complex in the legal field.
A security is an investment in a business. It can take the form of shares of stock, bonds, a package of loans or mortgages offered for sale by a financial institution or a financial instrument representing investment in a company or an international project.
The securities laws broadly prohibit fraudulent activities of any kind in connection with the offer, purchase, or sale of securities. These provisions are the basis for many types of disciplinary actions, including actions against fraudulent insider trading.
State securities laws are commonly known as blue sky laws. Typical provisions include prohibitions against fraud in the sale of securities, registration requirements for brokers and dealers, registration requirements for securities to be sold within the state, remedial sanctions and civil liability.
Securities litigation work is much like other types of litigation drafting documents, conducting discovery, doing legal research and preparing materials for hearings.
A securities lawyer is an attorney whos experienced and knowledgeable in securities lawthe branch of the law that deals with investments. Securities law governs things like what information a publicly-traded company must make available, honesty and fair dealing in the investment world, and how investments are traded.