About CGC
Our Firm. We are a litigation boutique focused on complex commercial litigation and regulatory matters. We include former partners at large law firms, the former Branch Chief in the Securities and Exchange Commission’s Enforcement Division in Atlanta, and former federal appellate, federal district, and state supreme court clerks.
Our Litigation Approach. We are trial lawyers. We believe obtaining the best results for our clients comes from preparing every case thoroughly and with the singular aim to win at trial.
We are experienced. We represent clients, both plaintiffs and defendants, in the most complex of commercial litigation matters. We have investigated, pursued, and defended claims involving alleged corporate wrongdoers, and we are uniquely capable of advocating for victims of fraud or unfair trade practices.
Our Regulatory Approach. We are knowledgeable. We view regulation through the eyes of government agencies. We have handled governmental and regulatory matters, including proceedings or claims before the SEC, FINRA, OCC, FDIC, and DOJ, for decades.
We are effective. We seek proactive resolutions of investigative concerns outside of litigation or other formal process. But if it becomes necessary to go to trial, we use our extensive regulatory and trial experience to advocate zealously on behalf of our clients.
Our Client Approach. We are focused. We approach every matter by analyzing how to achieve our client’s goals effectively and efficiently. Our model minimizes overhead and staffs cases leanly with experienced attorneys.
We are partners. We ensure our incentives are aligned with our clients, including through alternative and contingent fee arrangements. We frequently collaborate and work alongside other law firms. We approach every matter as a team effort.