Practice Areas
We organize the firm's lawyers into a number of highly specialized practice groups capable of responding effectively, efficiently and expeditiously to our clients' increasingly diverse needs. Our practice groups, however, do not operate in isolation; teams of lawyers from any number of these specialized groups often work together to provide a seamless interdisciplinary approach that we find critical to effective problem solving.
Securities Litigation
Entwistle & Cappucci has litigated some of the most high-profile and largest securities litigation matters in recent U.S. history and has assembled one of the most qualified and experienced team of litigators in this area of specialty. Our experience and achievements have won the Firm national recognition and distinction as one of the nation’s preeminent firms qualified to undertake the most complex and challenging securities-related matters. The Firm has served as lead plaintiffs’ counsel, or as counsel to institutional plaintiffs pursuing direct litigation, in securities fraud actions against publicly traded corporations including Daimler-Chrysler, UBS, Sunbeam Corporation, Global Crossing, Bear Stearns, Merrill Lynch, Waste Management, Enron, Cendant Corporation, Bank of America Corporation, HSBC, Citigroup, JP Morgan, CMS Energy Corp., Vivendi S.A., Ahold N.V. and National City Bancorp, among others. The Firm has played an active role in advancing shareholder rights and claims in the M&A context, representing clients in corporate transactional litigation in Delaware Chancery Court and other forums across the United States. Our experience includes a long history of litigating shareholder derivative actions alleging breach of fiduciary duty, corporate waste, and claims premised upon lack of fairness in process and pricing, as well as actions targeting unfair and/or self-dealing transactions. The Firm has invaluable knowledge and experience working with the Department of Justice, Securities and Exchange Commission, Commodity Futures Trading Commission, Financial Industry Regulatory Authority and other regulatory authorities, which we view as a critical element of the Firm’s capabilities. We also draw from attorneys at the Firm having a full range of disciplines and specialties which enables us to navigate a very broad range of industries. Over the years, the Firm has in this practice area represented an impressive roster of clients which has included the nation’s largest public pension systems, publicly traded corporations, private equity firms, hedge funds, high net worth investors and charitable organizations.