William R. Harb’s practice focuses on securities litigation, securities enforcement, and internal investigations. He defends clients in shareholder class actions, derivative actions, United States Securities and Exchange Commission proceedings, and mergers and acquisitions-related litigation. Some of the cases in which he has been involved include allegations of accounting fraud, violations of federal and state securities laws, and breaches of fiduciary duty. William also represents clients in complex business litigation, including breach of contract and violations of unfair trade practices laws.