I am a member of the Financial Services industry team at Husch Blackwell. I represent private and public companies, their officers and directors, lenders, IRA custodians, broker-dealers, investment advisors, financial planners, developers, contractors and others in litigation, arbitration, and disciplinary proceedings. I have with experience in matters involving claims for fraud, securities fraud, breach of contract, breach of fiduciary duty, negligence, construction defects and violations of various state and federal laws, including consumer protection laws and regulations. In addition, I represent securities industry clients in connection with investigations and enforcement proceedings before government agencies and self-regulatory organizations, such as the Securities and Exchange Commission, the Colorado Division of Securities, the Financial Industry Regulatory Authority and the Certified Financial Planner Board of Standards.
Listed skills include Litigation, Commercial Litigation, Business Litigation, Legal Writing, and 5 others.