Management Protection
The Management Protections Practice Group of Murchison & Cumming, LLP advises, represents and defends businesses, directors, officers, underwriters, owners and management in connection with D&O, securities, fiduciary duty and ERISA issues, claims and litigation.
The attorneys in this group also work with attorneys from the firm's Employment Practices, Insurance Law, Professional Liability and White Collar Crime & Litigation practice groups on matters pertaining to management protection, including EPLI, insurance and criminal investigations and regulatory matters. Litigation for the firm's banking clients also includes a significant book of lender liability cases.
The attorneys of the Management Protections Practice Group of Murchison & Cumming, LLP have extensive experience in federal and state securities litigation, shareholder derivative litigation, investigations and enforcement proceedings by the Securities and Exchange Commission (SEC), self-regulatory organizations and state securities agencies, corporate governance litigation, securities arbitrations and general business litigation. They are accomplished trial lawyers who have a long-standing record of successfully defended matters. They are also experienced in effectively utilizing alternative dispute resolution techniques, such as mediations, arbitrations and other private settlement procedures.
The clients of the Management Protections Practice Group of Murchison & Cumming, LLP include public and private corporations, their officers and directors, accounting firms, underwriters, brokerage firms, venture capital firms, investment advisors, banks and other financial institutions, and directors and officers of non-profit organizations.
For more information about the Management Protection Practice Group of Murchison & Cumming LLP, its attorneys and services, please contact:
Kenneth H. Moreno, Co-Chair
619-544-6838 x204
William D. Naeve, Co-Chair
714-953-2233