About Us

We are a plaintiff-side, multidisciplinary law firm dedicated to protecting investors and consumers from corporate harm.  Our seasoned attorneys and experienced professionals work hard to hold companies and their executives and fiduciaries accountable for any misconduct, so our clients can receive the justice and financial compensation that they deserve. 

We believe that our results speak for itself. We have prosecuted many high-stakes cases that yielded multimillion or multibillion-dollar settlements. (See “Proven Results”).  Courts have consistently recognized our skill,  professionalism, perseverance, and diligence on behalf of our clients.  (See “What Courts Say”).  

We have a unique approach guided by a team with 50+ years of former federal and state law enforcement experience, including our Director of Investigative Services & Litigation Support who enjoyed a broad-based career in the FBI, serving as a former Assistant Special Agent in Charge of a major FBI field office. We bring unique investigatory skills to our prosecutorial efforts.

Our team also has prior securities industry experience, including Series 7, 24, 63, and 65 licenses issued by the National Association of Securities Dealers (now FINRA).  We put our practical knowledge and real-world securities industry experience to good use. 

We also take enormous pride in representing a diverse client base. Current clients include the Policemen’s Annuity and Benefit Fund of Chicago, the Southeastern Pennsylvania Transportation Authority, Buffalo Grove Police Pension Fund, the New Orleans Firefighters Pension Fund, City of Miami Fire Fighters’ & Police Officers’ Retirement Trust, Iron Workers Local Union 401, and the Asbestos Workers Philadelphia Welfare and Pension Fund, among others.  A dedicated team monitors their investment portfolios to identify and safeguard their financial interests.

In addition to working with longstanding institutional clients, we extend our skill and experience to individual investors who suffer financial losses due to securities fraud. Whether advocating for the interests of large pension funds or individual investors, our mission remains the same: to provide strategic and effective legal representation that ensures accountability for corporate wrongdoing and seeks fair compensation for those impacted by fraudulent practices.

With a proven track record and unique investigative approach, we also represent those harmed by anticompetitive practices. Whether direct purchasers or end-users who are adversely affected by anticompetitive conduct, we are dedicated to fair market competition and protecting clients from unlawful business practices.  Our experience includes challenging no-poach agreements that deprive workers of a competitive wage, to price fixing complaints involving such things as pipe fittings, seafood, vitamins, financial instruments, and other products.   

We are also dedicated to championing the rights of consumers, providing a strong voice for those affected by deceptive practices or privacy breaches. In the digital age, data security is paramount, and we specialize in holding corporations accountable for breaches that compromise your personal information. 

Choosing Kehoe Law Firm means partnering with a team at the forefront of class action litigation, combining years of legal acumen with a commitment to achieving justice for our clients.  If you have been adversely affected by corporate wrongdoing – securities, antitrust, consumer, or employment – you can trust us to fight tirelessly on your behalf and seek the compensation you deserve.


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Contact Us


Kehoe Law Firm, P.C.
2001 Market Street
Suite 2500
Philadelphia, PA 19103


Tel: 215-792-6676


[email protected]