The Rosen Law Firm specializes in securities litigation both class action and for individuals and groups of investors. We also represent investors in redressing management and director misconduct, including breaches of fiduciary duties, self-dealing and other corporate governance matters. Our attorneys are highly experienced in dealing with complex securities cases and have been consistently recognized by courts across the country as dedicated to pursuing the claims of investors and consumers. Our approach to developing innovative legal theories lies in our commitment to protecting the U.S. securities markets and investor interests.
While selective about commencing litigation, we are committed to expanding relevant laws for the benefit of shareholders. We undertake in-depth analysis of the strengths of potential claims and damages before recommending that our clients initiate litigation or seek to become lead plaintiff in a case. Our response to each client is case-specific. If we feel that a case is weak, we will recommend against litigation even if the client has a relatively large loss. In a strong case or a case in which a client has a special interest, we may recommend litigating the case even if the client’s losses are relatively small.