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Graeme McPherson QC

Financial Services Regulation

As well as being the author of those chapters in Jackson and Powell on Professional Liability (6th ed.) relating to financial regulation and financial practitioners Graeme is regularly involved in cases relating to and arising from the conduct of Financial Services.

Recent and ongoing cases include

  • acting for an offshore Government seeking to recover in excess of $100 million on behalf of defrauded investors
  • defending an offshore trust company against a group action brought by investors in a film finance scheme
  • acting for a large pension provider in connection with a policy-interpretation dispute commenced by a group of pension holders
  • acting in a substantial fund mis-management claim
  • advising in connection with the mis-selling of Split-caps
  • defending a member of the Bar accused of under-settling complex banking litigation
  • advising various public bodies in connection with the recovery of funds trapped in Iceland
  • defending a substantial group of IFAs in relation to allegations of fraudulent mis-selling by a rogue employee
  • representing a US attorney in connection with a multi-jurisdictional FSA investigation
  • representing a Brazilian bank pursuing litigation in the BVI and the Bahamas
  • a claim against a major City investment bank in respect of credit derivative swap transactions