Clyde Snow attorneys prosecute and defend claims relating to securities issues including misrepresentation claims, breaches of fiduciary duty, SEC enforcement actions, and fraud claims. The firm has also litigated security claims concerning mergers and acquisitions and shareholder disputes. The firm’s attorneys have successfully represented individual and commercial clients in state and federal courts, as well as in administrative proceedings.
Clyde Snow
Securities and Regulatory Defense
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Our Securities and Regulatory Defense Attorneys

Katherine E. Pepin
Associate

Keith M. Woodwell
Director and Shareholder

Neil A. Kaplan
Director and Shareholder

Thomas A. Brady
Director and Shareholder

Walter A. Romney, Jr.
Director and Shareholder