Practice Areas
Business Court Litigation
Civil Litigation
Class Actions
Commercial Litigation
Employee Benefits & Compensation
ERISA
Financial Regulatory Advice & Response
Financial Services Litigation
Litigation, Regulatory & White Collar
Mergers & Acquisitions
Securities & Capital Markets Litigation
Securities & Corporate Governance
Career
Mark has substantive bench and jury trial experience in mergers and acquisitions litigation and shareholder disputes, where he has represented both public and private corporations and their directors, and ESOP-related disputes, where he has represented fiduciaries, ESOP-owned companies, selling shareholders, and valuation firms.
A former licensed broker, Mark also represents various broker-dealers before FINRA and advises securities industry entities involved in regulatory investigations, inquiries, and litigation. He advises public companies and their directors in their communications and responses to the SEC and DOJ.
Services Mark regularly provides to his clients:
Financial services class action defense
Securities litigation and advisory work
ERISA/ESOP class action defense
Corporate investigations (both internal and regulatory)
Complex business litigation representation