Arbitration and Litigation
Evans Law, PC’s arbitration and litigation practice involves all aspects of corporate and securities arbitration and litigation, including banking, general business, contract disputes, control person, respondeat superior, directors & officers liability, employment, financial, insurance, professional liability defense and other securities matters. Our firm possess exceptional trial and appellate skills, in-depth knowledge of state and federal courts at all levels, and practical business judgment, all of which contribute to our consistent delivery of cost-effective results. Our attorneys regularly represent financial institutions, branch managers, financial planners, directors and officers, investment advisers, money managers, hedge funds, banks and broker-dealers in virtually every region in the country before the Securities and Exchange Commission (SEC), the Financial Industry Regulatory Authority, Inc. (FINRA), American Arbitration Association (AAA), and state and federal trial and appellate courts.
Our dedicated group of lawyers draw upon their diverse backgrounds, including executive and compliance officers of FINRA member firms, general counsel to issuers and a former SEC enforcement attorney, to defend our clients in a diverse range of matters, in civil litigation as well as before federal and state regulators. In addition, through our coordinated approach with other services, we continually counsel firms and associated persons on rule compliance and oversight to minimize risks associated with regulators, arbitration and litigation.