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    C.W. (Peter) Flynn has worked on behalf of public companies and broker-dealers in the area of securities litigation for the past 30 years. Peter is a member of the Firm's multi-disciplinary White Collar Criminal Defense & Internal Investigations practice group. He was formerly an attorney with the Trial Unit of the SEC's Division of Enforcement in Washington, D.C. He has substantial experience defending securities class action suits and has represented companies and individuals in SEC and other regulatory investigations. Peter is also experienced in securities and commercial arbitration, and he has represented clients in arbitration proceedings before panels of FINRA and the American Arbitration Association.

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