Financial Markets: Securities litigation
CRA has extensive expertise in federal and state securities litigation. We are frequently involved in matters alleging violations of Section 11 of the Securities Act of 1933 and Rule 10(b)(5) of the Securities Exchange Act of 1934 . We work with our clients from the earliest stages of litigation, providing economic foundations for procedural and liability arguments. Throughout the duration of the case, we assist counsel in settlement negotiations, rebutting opposing experts’ allegations, and providing expert testimony.
CRA is a recognized authority in the application of financial economics to financial markets. We provide astute advice to legal and corporate clients on civil and criminal matters involving a full spectrum of trading and market issues. Our consultants are masters of this interdependent mix of economics, regulatory, and institutional knowledge.