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Securities Enforcement & Litigation

Baker & McKenzie’s Securities Enforcement & Litigation Practice Group integrates a diverse background of regulatory, enforcement and dispute resolution experience related to securities and corporate governance. The Firm represents corporations, issuers, directors, officers, majority shareholders, underwriters, brokerage firms, banks, financial institutions, accounting firms, attorneys and insurers on regulatory issues and disputes involving securities laws and regulations, shareholder/investor claims and corporate relationships. Regulatory and enforcement practitioners coordinate to provide timely advice on corporate governance issues, including the significant requirements imposed on issuers of publicly traded securities, auditors, board members and attorneys by Sarbanes-Oxley Act.

We have significant experience in the following areas: