PMA is the preeminent securities litigation firm in Puerto Rico. Since its inception, the Firm has represented all major financial institutions and broker-dealers doing business in Puerto Rico in securities-related matters. The practice group has handled high profile securities cases (including the largest securities fraud claim in Puerto Rican history), securities class actions, claims for fraud and violations under Section 10-b, investigations brought by the SEC, the Puerto Rico Office of the Commissioner of Financial Institutions, FINRA, NYSE, and NASD. The Firm’s litigators have represented its clients before the federal and Puerto Rico Courts, the Office of the Commissioner of Financial Institutions, and in arbitrations and mediations before FINRA (NYSE and NASD). The 2008 Edition of Chambers Global noted the Firm’s strength in “securities-related litigation, as it builds on the firm’s sterling reputation for securities and financial work.”