Andrew Abramowitz, Senior Counsel in the Securities Department, concentrates his practice in shareholder litigation, representing investors in matters under the federal securities laws and state law governing breach of fiduciary duty.
Glen L. Abramson
Glen L. Abramson is a Shareholder in the Philadelphia office. He concentrates his practice on complex consumer protection, product defects, and financial services litigation, and representing public and private institutional investors in securities fraud class actions and commercial litigation.
John Albanese is an Associate in the Minneapolis office. Mr. Albanese concentrates his practice on consumer protection with a focus on Fair Credit Reporting Act violations related to criminal background checks. Mr. Albanese has also prosecuted class actions related to illegal online lending, unfair debt collection, privacy breaches, and other consumer law issues.
Daniel Berger graduated with honors from Princeton University and Columbia Law School, where he was a Harlan Fiske Stone academic scholar. He is a senior member and Managing Shareholder. Over the last two decades, he has been involved in complicated commercial litigation including class action securities, antitrust, consumer protection and bankruptcy cases.
Of Counsel & Managing Shareholder Emeritus
Harold Berger is Of Counsel & Managing Shareholder Emeritus. Judge Berger participated in many complex litigation matters, including the Exxon Valdez Oil Spill Litigation, No. A89-095, in which he served on the case management committee and as Co-Chair of the national discovery team.
Gary E. Cantor
Gary E. Cantor is Of Counsel in the Philadelphia office. He concentrates his practice on securities and commercial litigation and derivatives valuations.
Zachary D. Caplan
Zach Caplan concentrates his practice on complex litigation, including antitrust, commodities, and e-discovery. Zach serves as a member of leadership teams that have recovered hundreds of millions of dollars for the Firm’s clients.
Shanon J. Carson
Shanon J. Carson is a Managing Shareholder of the Firm. He Co-Chairs the Employment & Unpaid Wages, Consumer Protection, Defective Products, and Defective Drugs and Medical Devices Departments and is a member of the Firm’s Commercial Litigation, Employee Benefits & ERISA, Environment & Public Health, Insurance Fraud, Predatory Lending and Borrowers’ Rights, and Technology, Privacy & Data Breach Departments.
Joy P. Clairmont
Joy Clairmont is a Shareholder in the Whistleblower, Qui Tam & False Claims Act Group, which has recovered more than $3 billion for federal and state governments, as well as over $500 million for the firm’s whistleblower clients.
Todd S. Collins
Todd S. Collins has led scores of securities and ERISA litigations over his 38 years at the Firm, winning recoveries in the hundreds of millions of dollars on behalf of plaintiffs and the classes they represent. He chairs the Firm’s ERISA practice, and he serves on the Firm’s Executive Committee and as the Firm’s Chief Counsel.