Jon J. Lambiras
Jon J. Lambiras, Esq., CPA, CFE is a Shareholder in the Securities and Consumer Protection practice groups. Since joining the Firm in 2003, he has practiced primarily in the areas of securities fraud, consumer fraud, and data breach class actions.
Lawrence J. Lederer
Lawrence J. Lederer is a Shareholder in the Firm’s Securities and Commercial Litigation practice groups. He has extensive experience representing and advising institutional investors in securities litigation. He has led the prosecution of many securities class action cases that have resulted in substantial recoveries for investors.
Patrick F. Madden
Patrick F. Madden is a Shareholder in the Antitrust, Consumer Protection, Insurance Fraud, and Predatory Lending and Borrowers’ Rights practice groups. His practice principally focuses on class actions concerning antitrust violations, financial practices, and insurance products.
Ellen T. Noteware
Ms. Noteware has successfully represented investors, retirement plan participants, employees, consumers, and direct purchasers of prescription drug products in a variety of class action cases.
Phyllis Maza Parker
Phyllis Maza Parker is a Shareholder at the Firm. She is a member of the Firm’s Securities and Investor Protection and Employment Law Departments.
Russell D. Paul
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.
Barbara A. Podell
Barbara A. Podell is a Shareholder in the Securities practice group. She concentrates her practice on securities class action litigation.
Sarah R. Schalman-Bergen
Sarah R. Schalman-Bergen is a Shareholder at the Firm. She Co-Chairs the Firm’s Employment Law Department and is a member of the Firm’s Antitrust, Insurance Products & Financial Services, and Lending Practices & Borrowers’ Rights Departments.
Martin I. Twersky
Martin I. Twersky is a Shareholder in the Antitrust Department. He has considerable experience in litigation involving a wide range of industries including oil and gas, banking, airline, waste hauling, agricultural chemicals and other regulated industries.
Dan Walker is a Shareholder of the Firm, which he rejoined in July 2017 after serving three years in the Health Care Division at the Federal Trade Commission. Mr. Walker practices in the Firm’s Washington, D.C. office.