Attorneys

Joy P. Clairmont

Shareholder

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. 

William H. Ellerbe

Shareholder

William H. Ellerbe is a Shareholder in the Philadelphia office and practices in the Firm’s Whistleblower, Qui Tam & False Claims Act group, which has collectively recovered more than $3 billion for federal and state governments, as well as over $500 million for the firm’s whistleblower clients.

William H. Fedullo

Associate

William H. Fedullo is an Associate in the Firm’s Philadelphia office, practicing in the Whistleblower, Qui Tam & False Claims Act group, which has collectively recovered more than $3 billion for federal and state governments, as well as over $500 million for the Firm’s whistleblower clients.

Russell D. Paul

Shareholder

Russell Paul is a Shareholder in the Securities, Consumer Protection, Qui Tam/Whistleblower, Corporate Governance/Shareholder Rights and Commercial Litigation practice groups.  He concentrates his practice on securities class actions and derivative suits, complex securities, and commercial litigation matters, False Claims Act suits and consumer class actions.

Sherrie R. Savett

Chair Emeritus & Executive Shareholder

Sherrie R. Savett, Chair Emeritus of the Firm, Co-Chair of the Securities Litigation Department and Qui Tam/False Claims Act Department, and member of the Firm’s Management Committee, has practiced in the areas of securities litigation, class actions, and commercial litigation since 1975.

Susan Schneider Thomas

Of Counsel

Susan Schneider Thomas concentrates her practice on qui tam litigation. Ms. Thomas has substantial complex litigation experience.

Lane L. Vines

Senior Counsel

Lane L. Vines’s practice is concentrated in the areas of securities/investor fraud, consumer and qui tam litigation. For more than 17 years, Mr. Vines has prosecuted both class action and individual opt-out securities cases for state government entities, public pension funds, and other large investors.

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