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Mr. Carey practices in the securities, corporate and fiduciary litigation practice group. Mr. Carey has experience in litigating a variety of corporate and fiduciary tort claims, including securities fraud, breach of fiduciary duty, corporate mismanagement and professional liability. In addition, Mr. Carey has significant experience in SEC investigation, State of Georgia investigations involving securities matters and internal investigations, and internal investigations, including investigations in response to shareholder derivative demands.
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Education |
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| J.D., Duke University School of Law, 2000
|  | | B.A., Duke University, 1996 |  |
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Bar & Court Admissions |
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| U.S. District Court for the Northern District of Georgia, 2002
|  | | Georgia, 2000 |  |
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Publications |
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Securities 'Holder' Class Actions: The Supreme Court Takes a Close Look in 2006, BNA Securities Regulation and Law Reporter, Volume 38 Number 8, Page 293, February 20, 2006.
State Law Securities "Holding" Claims and SLUSA Preemption, ABA SECURITIES LITIGATION JOURNAL, Volume 15, No. 1, Fall 2004 (co-wrote)
Recent Developments in Securities "Holding Claim" Cases, presented at 8th Annual ICLE Corporate Litigation Seminar, Nov. 19, 2004
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