Investor’s Rights & Securities Fraud
We represent individual and institutional investors who have been harmed by fraud, negligence, or breaches of fiduciary duty involving investments in public and private companies and mutual funds.
For example, we represent two prominent venture capital investment funds in an action for securities fraud and misrepresentation against the former Chief Executive Officer of a now-defunct medical device company. During the course of due diligence, the CEO withheld damaging information about the company’s most important medical device.
Suing on behalf of mutual fund investors, Hanly Conroy filed derivative and class action lawsuits against mutual fund managers and advisors who unlawfully invested – and lost tens of millions of dollars – in illegal offshore gambling entities. The actions are the first of their kind and have been filed in courts throughout the United States.
We also represent a member of a Delaware limited liability company in derivative litigation arising from a failed joint venture to finance Russian communications satellites.
For a free consultation with an experienced investor's rights attorney, please contact us today.
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