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In conjunction with its securities fraud practice, the Firm is committed to the protection of shareholder rights. The Firm has represented shareholders at both the state and federal level in derivative actions designed to bring about non-monetary corporate policy changes. Brought on behalf of a corporation by a shareholder, these actions typically arise when a board of directors refuses to adequately protect its shareholders. The Firm strongly believes in corporate integrity and also believes that shareholders can and should play an active role in assuring said integrity. The Firm can help individual shareholders discover and correct mismanagement that, if left unchecked, has the potential to hurt their investments. We limit our securities practice to representing shareholders. If you are a shareholder and believe that your company is not practicing good corporate governance or have a question regarding your rights as a shareholder, please click here. |
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