We offer expert witness and securities litigation support for plaintiffs, defendants, legal professionals and regulators, in banking and securities industry cases and FINRA arbitrations. We provide objective analysis and can effectively communicate findings and conclusions to arbitration panels, judges and juries.
Cases Involving:
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Banks, Broker-Dealers, Investment Advisors, Issuers
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Sales practices
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Supervision/Failure to Supervise
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Breach of Fiduciary Duty
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Insider Trading
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Securities Fraud
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Misrepresentation
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Misappropriation
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Churning
Investments In:
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Stocks/Penny Stocks, Foreign Securities
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Bonds/Municipal Securities
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Mutual funds/Exchange Traded Funds (ETFs)
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Public and Private Stock and Bond Offerings
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Restricted Securities/Rule 144
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Hedge funds, Limited Partnerships
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Structured products, Alternative Investments
Our services include assistance with:
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Case review and assessment
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Preparation of reports and exhibits that support conclusions
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Preparation and support on depositions and discovery
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Review of opposing expert testimony, reports and exhibits
V&V Consulting is not a law or accounting firm and therefore, we do not render legal, or accounting advice.