Cable Huston’s attorneys have experience defending and prosecuting securities litigation claims in federal and state courts and in Financial Industry Regulatory Authority (“FINRA”) arbitrations.  Our experience includes claims under the 1933 and 1934 Securities Acts, claims for securities fraud, nondisclosure, violations of state blue sky laws, suitability, churning, and breach of fiduciary duty claims.  We also have experience defending non-broker professionals, such as real estate agents and attorneys, against claims under Oregon’s Securities Law.

If you're interested in learning more about our services,
we encourage you to get in touch at your earliest convenience.

(503) 224-3092

or submit an online message to request an appointment.

We look forward to working with you.