William H. Ellerbe
William H. Ellerbe is an Associate 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.
Candice J. Enders
Candice J. Enders is a Shareholder in the Antitrust practice group. She concentrates her practice in complex antitrust litigation. Her significant involvements include In re Microcrystalline Cellulose Antitrust Litigation; In re Methyl Methacrylate (MMA) Antitrust Litigation; In re Chocolate Confectionary Antitrust Litigation; In re TFT LCD (Flat Panel) Antitrust Litigation; and In re Cathode Ray Tube (CRT) Antitrust Litigation.
Michael T. Fantini
Michael T. Fantini is a Shareholder in the Consumer Protection and Commercial Litigation practice groups. Mr. Fantini concentrates his practice on consumer class action litigation.
Chief Administrative Officer & Shareholder
Ms. Gordon is a Shareholder in the Antitrust practice group and serves as the Firm’s Chief Administrative Officer. In the last few years alone, Ms. Gordon has served as one of the lead lawyers in antitrust class actions resulting in recoveries of hundreds of millions of dollars for the class members she has represented.
Joe Hashmall, an Associate, is a member of the Firm’s Consumer Protection practice group. In that practice group, Mr. Hashmall primarily focuses on consumer class actions concerning financial and credit reporting practices.
Shauna B. Itri
Shauna Itri concentrates her practice on complex litigation, specifically representing whistleblowers in qui tam or False Claims Act law suits in state and federal courts throughout the United States and tax and securities whistleblowers with claims under the IRS and SEC whistleblower programs.
Peter R. Kahana
Peter R. Kahana is a Shareholder in the Insurance and Antitrust practice groups. He concentrates his practice in complex civil and class action litigation involving relief for insurance policyholders and consumers of other types of products or services who have been victimized by fraudulent conduct and unfair business practices.
Michael J. Kane
Michael J. Kane, a Shareholder of the Firm, is a graduate of Rutgers University and Ohio Northern University School of Law, with distinction, where he was a member of the Law Review. Mr. Kane is admitted to practice in Pennsylvania and various federal courts.
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.
David A. Langer
David A. Langer is Senior Counsel in the Antitrust practice group. He concentrates his practice in complex antitrust litigation.