Established in 1971, Hale Lane is a full-service law firm operational for more than 20 years. It focuses on complex, commercial and business disputes. Located in Las Vegas, Nev., the firm represents plaintiffs and defendants. It handles matters associated with contract and partnership disputes, creditors rights, distribution and franchise rights, class actions, and mergers and acquisitions. The firm also practices in the areas of bankruptcy and insolvency litigation, antitrust, government investigations, insurance and indemnification, employment law, and arbitration and mediation. Hale Lane serves various clients, such as corporate houses, financial institutions, government organizations, and small and large businesses.
" SEC Targets Severance Agreements That Impede Whistleblowers," Employers' Lawyers Blog and Lorman Education Services, Co-Author, February 7, 2017 and May 2017
Judd West defends the interests of energy and resource industry clients in complex commercial, personal injury, and construction disputes in New Mexico.
Judd represents energy and natural resources clients before state and federal courts and has experience defending owners, operators, and service vendors in toxic tort, wrongful death, catastrophic injury, and insurance issues ranging from coverage to contractual indemnity.
Fraud
Defended a healthcare company and certain of its officers and directors, in securities fraud and negligent misrepresentation litigation in Colorado federal and state courts.*
He represents individuals and corporate clients, both large and small, in complex litigation matters in state, federal, and bankruptcy courts involving distressed assets, foreclosure disputes, secured transactions, and probate and trust litigation.
Tax Law
Colin focuses his practice on state and local taxation, federal tax controversy, federal and state income tax, and tax-exempt entities, including tax compliance and tax litigation at the state and federal levels.
She guides companies through all stages of litigation and investigation and advises on compliance issues and corporate best practices. From her secondment at Citigroup, Inc., where she managed regulatory and internal investigations, enforcement and litigation proceedings, Kim understands these matters from a client’s perspective. Her background includes securities, derivatives, banking, mergers and acquisitions, insider trading, investment advisors, bribery and corruption (FCPA and UK Bribery Act), shareholder derivative actions, class actions, commercial disputes and corporate governance.
Mergers and Acquisitions
Business Disputes
Sydney represents business clients in commercial matters relating to contract disputes and complex business torts, as well as insurance and healthcare clients in litigation and administrative matters.