Cheryl L. Haas
Cheryl is chair of the firm’s financial services litigation department. Her practice focuses on securities enforcement and related litigation involving the U.S. Securities and Exchange Commission, the Financial Industry Regulatory Authority and state regulators. She has significant experience representing broker-dealers and investment advisors in regulatory investigations, concerning securities or accounting fraud, insider trading, REITs, advisory accounts, variable annuities, privacy, supervision, obstruction of justice and other issues. She also represents these clients as wells as other Fortune 500 companies in litigation in both state and federal courts, including class actions, and FINRA and AAA arbitrations. Cheryl received her J.D., cum laude, from the New York University School of Law, where she served as Senior Articles Editor for the NYU Law Review, and her undergraduate degree from Emory University.