Braeden is a nationally recognized securities regulatory and enforcement attorney with deep experience representing publicly traded and private companies, financial institutions, fintechs, and senior executives in matters involving the SEC, DOJ, FINRA, and state attorneys general. His practice focuses on defending clients in government investigations, enforcement proceedings, and complex regulatory matters—including insider trading, securities fraud, market manipulation, and issues involving digital assets and blockchain-based platforms. In addition to his enforcement and regulatory work, Braeden advises emerging growth and venture-backed companies in regulated industries on corporate formation, governance, capital raising, and securities law matters.