He has a very extensive High Court litigation practice developed over 30 years which includes claims for breach of contract, misrepresentation and cross border international claims with a particular emphasis on representing clients from the US, India and the Far East.
He also specialises in acting for shareholder group clients in claims for errors and omissions in a Prospectus made by a PLC (section 90 FSMA 2000) as well as misleading information to the market (section 90A FSMA 2000).In addition, he acts for buy-side clients on complex misselling claims relating to the sale of financial products which often contain a derivative element.
He is regularly instructed in international cross-border cases subject to bodies such as the LCIA and ICC as well ad-hoc arbitrations in different industries including hospitality, cosmetics and financial services
I was formerly seconded to the enforcement division of the FSA (now FCA) and I now act for a variety of clients subject to FCA enforcement proceedings. He has a deep understanding of the requirements of the FCA-regulated sector. He acts for Senior Managers on a range of disputes relating to their FCA status including Fitness/Integrity as well as Market Abuse claims.
Philip regularly works on prospective cases as a solicitor which require substantial litigation funding, including FSMA-related group claims. These cases require both litigation funding and ATE insurance. He works collaboratively with other lawyers throughout the world as well to prepare these cases for large-scale litigation funding. He also works with economists and accountants, which these cases often require at the outset.
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