J. Michael Bishop
OVERVIEW
About J. Michael Bishop
For over 25 years, Mike has practiced extensively in the areas of securities arbitration and litigation, representing investors with securities claims of all types and sizes. Mike and his firm have obtained numerous seven-figure arbitration awards which have included punitive damages, attorneys’ fees and costs. Many of Mr. Bishop’s clients are elderly investors who have been victims of investment and financial fraud.
Mike has successfully represented clients with claims against virtually every major Wall Street firm, including: Bank of America/Merrill Lynch, UBS/PaineWebber, Morgan Stanley/Dean Witter, Wells Fargo Securities/Wachovia Securities, Prudential Securities, Citigroup/Smith Barney, Shearson/Lehman Brothers, Bear Stearns, Credit Suisse, Ameriprise Financial, Morgan Keegan, and LPL Financial, as well as numerous others.
Mr. Bishop has also represented numerous investors who have suffered losses through illegal Ponzi schemes, and has acted as counsel for an SEC court appointed Receiver to recover funds on behalf of defrauded investors.
Mike has lectured to numerous groups about securities arbitration including, among others, the American Association of Individual Investors, the Public Investors Arbitration Bar Association (PIABA), the Atlanta Bar Association, the Montana Bar Association, and the Georgia ElderCare Network. He has been a course instructor for the Financial Industry Regulatory Authority’s (FINRA) Arbitrator Training Program, and has taught courses on claims and defenses in arbitration, discovery in arbitration, and brokerage firm documentation. Mr. Bishop has also served as a FINRA arbitrator.
Mike has been widely quoted as an expert on securities matters in various national news publications and cases he has handled have been featured in The Wall Street Journal. Mr. Bishop has also appeared as a securities law expert on CNBC.
Mr. Bishop has co-authored articles on “How to Read and Understand Broker Account Statements” and “Limited Partnership Interests: What Are They Worth?” which have been published by the American Association of Individual Investors’ AAII Journal.
Mr. Bishop has served as a Board Member of the Elder Law section of the Atlanta Bar Association and Vice-Chair of the ADR Committee of the American Bar Association’s Tort and Insurance Practice section. Mr. Bishop is a member of the Public Investors Arbitration Bar Association, the National Association of Elder Law Attorneys, and the Lawyers Club of Atlanta. He is also the former Chairman of the Board of the Brain Injury Resource Foundation.
Mr. Bishop is a native of Atlanta, Georgia. He received his law degree from Mercer University Law School in 1984.
Practice Areas
Fees
Education
| Mercer University Walter F. George School of Law - Mercer University | J.D. (1984) |
WEBSITES & BLOGS
Smiley Bishop & Porter LLP
LPL FINANCIAL FACES SCRUTINY WELLS FARGO BROKER AND POET SANCTIONED FOR DEFRAUDING WIDOW TICs That Bite Investors TICs That Bite Investors Mike Bishop elected president of North Fulton Bar Association FINRA HEAD EXPLAINS PERILS OF COMPLEX INVESTMENT PRODUCTS Smiley Speaks at U.S. Dept. of Labor Investment Forum Houston & Lett v. Wells Fargo Advisors What’s a UIT?
SOCIAL MEDIA
*New* From Our Blog: LPL Financial Faces Scrutiny http://t.co/gO6kKdA2B6
— J. Michael Bishop (@SBPlaw) March 29, 2013
Wells Fargo Broker and Poet Sanctioned for Defauding Widow http://t.co/RO1mZ3somX
— J. Michael Bishop (@SBPlaw) March 15, 2013
FINRA Head Explains Perils of Complex Investment Products http://tinyurl.com/chygw8n
— J. Michael Bishop (@SBPlaw) October 31, 2012
SBP Investigating Wells Non-Traded REITs http://t.co/tWoUWlcq
— J. Michael Bishop (@SBPlaw) December 7, 2011
What's a UIT? http://tinyurl.com/7x4nva5
— J. Michael Bishop (@SBPlaw) December 7, 2011
In far too many instances, Private Placements are sold to clients who are not properly informed of their risks http://tinyurl.com/66c8wvt
— J. Michael Bishop (@SBPlaw) October 24, 2011
A Selective Overview of Provisions of the Dodd-Frank Wall Street Reform and Consumer Protection Act http://tinyurl.com/6953qaw
— J. Michael Bishop (@SBPlaw) September 20, 2011
FINRA Issues Warning About Structured Products, High Yield Bonds, and Floating-Rate Funds http://tinyurl.com/3usfoej
— J. Michael Bishop (@SBPlaw) August 4, 2011
"If all the economists were laid end to end, they'd never reach a conclusion." ~George Bernard Shaw http://tinyurl.com/696uk38
— J. Michael Bishop (@SBPlaw) July 27, 2011
The Secretary of State of Georgia is investigating whether securities laws were violated by sale of reverse convertibles http://tinyurl.com/3uny7ur
— J. Michael Bishop (@SBPlaw) July 27, 2011
CONTACT & MAP
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