In his nearly 20 years of practice, Jeffrey Blackwood has handled a variety of commercial litigation matters. He is actively representing broker-dealers and registered investment advisors in matters before FINRA, as well as the Mississippi Secretary of State Securities Division. Jeffrey recently obtained a victory on behalf of a trust in litigation involving investment LLCs in Delaware. In addition, he routinely speaks and writes on topics related to securities regulatory and enforcement matters. He also has significant experience in representing life insurance companies and insurance brokers in a variety of matters, including sales practice litigation, regulatory actions and professional negligence actions.