G&E provides a full spectrum of services to its clients, including comprehensive case monitoring and evaluation, as well as analysis and identification of new and potential litigation. The Firm gives its clients the opportunity to become aware of legal actions that may impact their investments at an early stage, and also presents opportunities for launching shareholder actions to improve corporate governance and accountability, and to address securities law violations or breaches of fiduciary duties.

G&E monitors all new and potential litigation in the areas of shareholder derivative actions and federal securities fraud litigation at no charge to its clients. The Firm tracks pending cases as well as financial and business news that may ultimately result in private litigation or claims by federal or state regulators. Monitoring reports are individually tailored for each client and can be delivered in a variety of formats, including online through a secure access client site.

Learn more about G&E’s:

Portfolio Monitoring Service
Secure Client Portal