The attorneys at Miller Wells PLLC have represented corporations and their officers and directors, as well as outside professionals, including accountants and attorneys, who have been sued in class action and derivative lawsuits. This representation includes the defense against claims that a corporation has made false and misleading statements in violation of federal securities and/or state fraud laws. We represent corporations, directors and officers in suits alleging violations of Section 10(b) of the U.S. Securities Exchange Act of 1934 (the “1934 Act”). We represent clients in “insider trading” cases under Sections 10(b) and 14(e), and we represent underwriters and issuers in litigation under the U.S. Securities Act of 1933 (the “1933 Act”). In addition, we have appeared regularly before the SEC, various securities exchanges and state securities commissions in connection with formal investigations, administrative proceedings and informal inquiries.