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Life, Annuity, and Retirement Litigation

Life, Annuity, and Retirement Litigation

Overview

For close to three decades, we have been at the forefront of defending life insurance and annuity issuers and other financial services companies in every major genre of litigation affecting the industry. Such representation includes national litigation challenging the determination of cost of insurance rates and other non-guaranteed elements, "vanishing premium" and other life insurance and annuity sales practices/market conduct cases, ERISA fiduciary duty suits, and litigation over lender-placed insurance. Our lawyers not only understand the legal issues relevant to these cases but also have a deep background in our clients' products, business practices, and regulatory challenges. We work closely with our colleagues in other practice areas, including the firm's Financial Services - Regulatory, Class Actions, and Securities and Derivative Litigation practices, to ensure we bring the highest level of expertise to every matter.

As a result, the industry knows us well. Our lawyers have represented the vast majority of the top 25 life and annuity companies (by assets) in class action and high-stakes individual product cases. The firm has represented dozens of national and international insurers in hundreds of class actions throughout the United States. Indeed, our clients have consistently recognized us as among the top "go-to" firms for national class action and high-stakes litigation for the life insurance industry.

We have appeared as lead counsel in state and federal courts in nearly every state, including in appeals in all 12 of the federal circuit courts of appeal and the U.S. Supreme Court. But we are not simply litigators: our lawyers are prepared to try cases. We defended as lead counsel what is believed to be the largest jury trial of a certified national class action involving the life insurance industry, a case involving a nationwide class of approximately 400,000 annuity contract holders seeking $2 billion in damages, in which the jury returned a verdict for our client.

  • We have extensive experience defending the life insurance industry in matters involving challenges to insurers' determinations regarding the cost of insurance (COI) rates in fixed and variable universal life insurance policies, including litigation regarding COI rate increases. 
  • We have defended against challenges to insurers' exercises of discretion with regard to other non-guaranteed elements, e.g., interest/dividend crediting, and expense allocation-related claims.

Learn more about our experience defending life insurers against challenges to their exercises of discretion in setting non-guaranteed elements.

  • Our litigators have wide-ranging experience defending insurers in lawsuits alleging the improper sale or marketing of life insurance and annuity products. 
  • Our attorneys have dismissed, settled, and won trial victories in class actions claiming, inter alia, that the sales of annuities and long-term care policies were misleading; that life insurance policies were marketed as having "vanishing premiums" and/or were improperly replaced; that the insurer allegedly violated the TCPA; and that plans were improperly sold as complying with IRS Sections 412(i) and 409.

Learn more about our experience defending life insurance and financial services companies against sales practices and other market conduct claims.

  • The firm's practice in this area is devoted to representing insurers, financial institutions, and employee benefit plan sponsors in the areas of class action and other complex litigation, financial product development, regulatory compliance, and regulatory monitoring and advocacy. 
  • We have extensive experience litigating fiduciary and prohibited transaction claims, as well as other alleged violations of ERISA and other federal and state laws in connection with the management of pension or welfare plan funds, the provision of trust, custodial, actuarial, accounting, and other services to plans, and the administration of employee benefit claims. 

Learn more about our experience defending financial services companies against ERISA claims.

  • Competing groups of class action lawyers have filed approximately 150 high-profile class actions in venues all across the United States challenging aspects of lender-placed insurance programs (LPI). A team of our lawyers have represented the largest LPI underwriting group of specialty insurers, and several banks and servicers, in defending these cases. 
  • In addition to achieving early dismissal of several of these cases (at both the trial and appellate levels), the LPI litigation teams have developed an effective settlement strategy for the defendants, and implemented that strategy in nationwide settlements for most of the major lenders and loan servicers. Trial and appellate courts in numerous jurisdictions

Insights

Our Team

Key Contacts

Todd M. Fuller
Shareholder
Irma Reboso Solares
Shareholder

Additional Members

Scott Abeles
Shareholder
Washington, D.C.
Enrique D. Arana
Shareholder
Miami
Ann Young Black
Shareholder
Miami
Justan C. Bounds
Shareholder
Atlanta
Steven J. Brodie
Shareholder
Miami
Scott E. Byers
Shareholder
Miami
Johanna W. Clark
Shareholder
Orlando
Jeffrey Michael Cohen
Of Counsel
Miami
W. Thomas Conner
Shareholder
Washington, D.C.
Andrew Daechsel
Shareholder
West Palm Beach
Robert W. DiUbaldo
Shareholder
New York
Nathaniel L. Doliner
Shareholder
Tampa
Steven C. Dupré
Shareholder
Tampa
Daniel G. Enriquez
Of Counsel
Miami
Stephanie A. Fichera
Shareholder
Miami
Christopher B. Freeman
Shareholder
Atlanta
John L. Gibbons
Associate
Washington, D.C.
Brendan N. Gooley
Shareholder
Hartford
Jason H. Gould
Of Counsel
Washington, D.C.
Clifton R. Gruhn
Shareholder
Miami
F. Townsend Hawkes
Of Counsel
Tallahassee
Sean W. Hughes
Associate
Miami
Daniel C. Johnson
Shareholder
Orlando
Heather M. Jonczak
Shareholder
Miami
Roger S. Kobert
Shareholder
New York
Jeanne M. Kohler
Shareholder
New York
Thomas C. Lauerman
Of Counsel
Washington, D.C.
Markham R. Leventhal
Shareholder
Washington, D.C.
Michael D. Margulies
Shareholder
New York
Julianna Thomas McCabe
Shareholder
Miami
Thomas F. Morante
Senior Counsel
Miami
Paul L. Nettleton
Shareholder
Miami
Mark A. Neubauer
Shareholder
Los Angeles
Robert Novack
Shareholder
New York
Rachel A. Oostendorp
Of Counsel
Miami
Christopher M. Paolini
Shareholder
Orlando
Robert W. Pass
Of Counsel
Tallahassee
Brooke Patterson
Associate
Miami
John C. Pitblado
Shareholder
Hartford
Robert B. Shapiro
Of Counsel
Washington, D.C.
Alex B. Silverman
Shareholder
New York
Jonathan Sterling
Shareholder
Hartford
Benjamin M. Stoll
Shareholder
Washington, D.C.
Charles W. Stotter
Of Counsel
New York
Nora A. Valenza-Frost
Of Counsel
New York
Barry Leigh Weissman
Shareholder
Los Angeles
Jeffrey L. Williams
Of Counsel
Hartford
Michael N. Wolgin
Shareholder
Miami
Gwynne A. Young
Shareholder
Tampa

Disclaimer

The information on this website is presented as a service for our clients and Internet users and is not intended to be legal advice, nor should you consider it as such. Although we welcome your inquiries, please keep in mind that merely contacting us will not establish an attorney-client relationship between us. Consequently, you should not convey any confidential information to us until a formal attorney-client relationship has been established. Please remember that electronic correspondence on the internet is not secure and that you should not include sensitive or confidential information in messages. With that in mind, we look forward to hearing from you.