Braganca Law LLC is a specialized securities defense firm that aggressively protects the rights of businesses, financial professionals, investors, and whistleblowers facing regulatory scrutiny. Founded by a former SEC Enforcement Branch Chief, the firm stands out for its insider perspective on securities law and its commitment to defending clients against allegations of fraud, market manipulation, and other financial misconduct.
With over 30 years of combined experience, the firm’s attorneys leverage their deep regulatory background to navigate complex SEC, FINRA, and state investigations. They focus on minimizing career disruption and financial penalties for clients, including senior executives, advisors, brokerage employees, and whistleblowers. The firm is known for its strategic, client-centered approach and has achieved numerous favorable outcomes, including declined charges and reduced settlements.
Services Offered
- SEC Defense
- FINRA Investigation Representation
- State Securities Investigations
- Whistleblower Advocacy
- Business Disputes Resolution
- Insider Trading Defense
- Market Manipulation Cases
- Securities Fraud Defense
- Representation in Shareholder Class Actions
- Bankruptcy Adversary Proceedings
- Cryptocurrency and Digital Asset Securities Defense
The firm serves clients nationally and internationally, with particular focus on major metropolitan areas including Chicago, New York, Los Angeles, and Washington D.C. Lisa Bragança, the founding attorney, is fluent in leveraging her regulatory experience to assist professionals across the financial industry, and the firm offers consultations in English.
