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Broker/Dealer Claims
FTI provides services to securities professionals and to counsel defending securities and other claims or pursuing direct or cross claims related to securities transactions. Our senior professionals have exceptional credentials and a wealth of experience related to securities laws and transactions, including service in the brokerage and investment banking industries and on the staff of the SEC. We represent plaintiffs and defendants and specialize in complex issues.
We assist clients with the following:
Investor suitability claims
– Our analytical models and thorough understanding of the NYSE “Know Your Customer” rule allow us to provide empirically sound comparisons to brokers’ recommended asset allocations to determine whether and to what extent an investor’s portfolio may have been overweighted in risky securities
Portfolio risk analysis
– Using our in-depth knowledge of portfolio management, statutory and regulatory requirements, industry practices, empirical research and developments in financial theory, we assess the investment decisions of portfolio managers, including a portfolio’s exposure to risk
Securities valuation
– Our professionals use carefully constructed securities trading models to value securities and derivatives such as options strips, swaps and other financial instruments for clients involved in valuation disputes
Investment due diligence
– We perform thorough due diligence investigations for securities broker/dealers and investment advisors based on our intimate familiarity with regulatory and industry standards in the securities field
Securities fraud and insider trading
–We investigate securities fraud and insider trading, addressing issues of materiality, disclosure and damages – we offer a complete range of services in fraud investigations, from market price analyses to securities law and regulation
Supervisory procedures
– Drawing upon direct experience with broker/dealer firms and SEC investigations, our professionals assess broker/dealer supervisory procedures to determine if firms, in addition to individuals, are at fault in cases involving insider trading, churning, stock manipulation or other fraudulent practices
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