David Erb is a partner in the firm's Baltimore office and is a founding member of the firm's Employee Defection and Trade Secrets Practice Group and co-chairs the Financial Services Industry Group. David counsels and represents employers in a diverse range of employment law matters from individual employment discrimination, retaliation, defamation (including securities industry Form U-5 defamation cases) and wrongful discharge actions to claims of employee raiding and recruiting teams of critical employees by competitors to claims of misappropriation of highly sensitive trade secrets and confidential information. David's practice breaks out into four primary segments:
1. Employee Recruitment/Defection/Trade Secrets Litigation: David has a national practice helping employers both navigate and litigate the complex issues surrounding en masse defections, hiring multiple and highly compensated individual employees from a competitor, and employee movement precipitated by mergers and acquisitions. David has litigated cases in courts and arbitral forums in over 25 states and the District of Columbia and has been involved in hundreds of matters concerning claims of misappropriation of trade secrets and confidential information, employee raiding, and breaches of restrictive covenants, including non-competition, customer non-solicitation and confidentiality agreements. Many of the litigation matters involve rapid deployment of resources throughout the United States to seek or defend against temporary restraining orders, emergency injunctive orders and other relief.
2. Strategic Planning and Counseling on Employee Transitions and Protection of Critical Business Assets: David counsels clients on the multi-faceted aspects of strategic recruiting, protection of critical business information and resources, and the development of key producer transition programs. This includes a wide range of projects, such as:
David has provided risk assessment, planning advice and counseling in relation to employee transitions and business protection throughout the United States.
3. Defending Employers against Claims of Discrimination, Retaliation, Harassment and Wrongful Termination: David defends employers against charges of discrimination based on race, gender, age, disability, national origin and religion in actions before the Equal Employment Opportunity Commission (EEOC), the Maryland Commission on Civil Rights and other state and local investigative agencies, as well as in the state and federal courts. He also defends employers against wage and hour claims, wrongful discharge and post-employment defamation claims, including Financial Industry Regulatory Authority (FINRA, previously the NASD) arbitration claims for securities industry Form U-5 defamation.
4. Defending Employers and their Employees in Regulatory Investigations: David represents and advises both employers and employees in regulatory investigations by the Securities and Exchange Commission (SEC), the FINRA, state securities and insurance commissions and the Certified Financial Planner (CFP) Board.
David has represented clients in numerous industries, including all aspects of the financial services industry (major broker-dealers, institutional traders, trading desks, investment bankers, wealth managers, registered investment advisory firms, banks, private banking and insurance companies), publishing, construction, automotive sales, high-tech industries (information technology, data storage and software development, medical devices), medical and dental practices, compounding pharmacies, warehousing and distribution, beverage distributors, hazardous materials trucking, auction houses, high-end retailers, food services, restaurants and others.
David is "AV" Preeminent Peer Review Rated by Martindale-Hubbell. In addition, David is a co-leader of the Fisher Phillips Financial Services Recruitment Litigation Conference, a participatory conference focusing on issues relevant to restrictive covenant and related litigation among broker-dealers, private wealth management firms, Registered Investment Advisors (RIA), private banks and insurance carrier distribution networks and agencies. David has hosted and moderated this quasi-annual conference since 2003.
Firm Prospects attorney tracking launched in 2015/2016. Prior employment history currently unavailable.
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