Search for "Ria C. Momblanco"
Ria Allison Davis
New York, NY Lawyer with 36 years of experience
University of Pennsylvania Law School and University of Pennsylvania Law School
Ria Julien
New York, NY Lawyer with 11 years of experience
Benjamin N. Cardozo School of Law
Ria Mariam Thomas
Washington, DC Attorney with 22 years of experience
2201 C Street Northwest
Washington, DC 20520
Georgetown University Law Center and Georgetown University Law Center
Ria Rana
New York, NY Attorney with 10 years of experience
Emory University School of Law
Ria Dutta
New York, NY Lawyer with 11 years of experience
Jilian Ria Vallade
New York, NY Lawyer with 14 years of experience
Rutgers School of Law-Newark
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Bryan W. Gort
Atlanta, GA Lawyer with 11 years of experience
Arbitration & Mediation, Securities and Stockbroker Fraud
Mercer University Walter F. George School of Law
Mr. Gort specializes in providing regulatory and compliance-related services to registered investment advisers (“RIAs”). At Parker MacIntyre, Mr. Gort manages the day to day task of keeping track of regulatory deadlines for all of the firm’s RIA clients and oversees the work of other Parker MacIntyre associates. In this role, Mr. Gort routinely drafts Investment Advisory Agreements for RIAs, disclosure documents (including Form ADV Parts 1 and 2, Form U4 and point of sale disclosures), compliance manual procedures and other ancillary documents for RIAs.
Mr. Gort has accumulated experience since 2013 in creating legal solutions for problems registered investment advisers...
Claimed Lawyer ProfileLII GoldBlawg SearchSocial Media
Patricia Klusmeyer
Atlanta, GA Lawyer
Securities and Stockbroker Fraud
Georgia State University College of Law
Mrs. Klusmeyer specializes in providing legal advice and compliance support to registered investment adviser clients. During her time at Parker MacIntyre since 2016 she has provided compliance guidance to investment adviser and broker-dealer clients, assisted with various regulatory filings, drafted compliance policies and procedures, drafted agreements, helped prepare responses to SEC and state examinations, and represented clients in FINRA arbitration.
Mrs. Klusmeyer maintains familiarity and competence regarding recent developments in securities rules, the Financial Industry Regulatory Authority, and regulations from federal and state regulators, including the Securities and Exchange Commission and the Department of Labor. She has helped clients implement...
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Andrew "Andy" Hook
Virginia Beach, VA Lawyer with 49 years of experience
Elder, Estate Planning and Probate
University of Virginia School of Law
Andrew H. “Andy” Hook is the president of Hook Law Center, where he practices in the areas of elder law, estate and trust administration, estate, tax, retirement and financial planning, long-term care planning, asset protection planning, special needs planning, business succession planning and personal injury settlement consulting.
A 1975 graduate of the University of Virginia School of Law, Mr. Hook is a Fellow of the American College of Trust and Estate Counsel (ACTEC), and a Fellow of the National Academy of Elder Law Attorneys (NAELA). Mr. Hook is certified as an Elder Law Attorney (CELA) by the National Elder Law...
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Arthur Leonard
Providence, RI Attorney with 35 years of experience
Business, Elder, Estate Planning and Tax
Boston University School of Law and Saint Louis University School of Law
ARTHUR J. LEONARD Principal Arthur Leonard devotes his practice to the needs of closely-held businesses and their principals through U.S. and multinational income tax planning, asset protection planning, estate planning, business succession planning, and deferred compensation planning. He also assists individuals of various incomes with estate and Medicaid planning. He is an author of RIA State and Local Taxes, an influential national resource for lawyers and accountants and for the National Business Institute and Lorman, and other business and tax law publishers. He has also written a popular column on tax law for a leading Rhode Island...
Claimed Lawyer ProfileSocial MediaResponsive Law
Antonio Gastelum
The Woodlands, TX Lawyer with 34 years of experience
(800) 964-6604
2001 Timberloch Place, Suite 500
The Woodlands, TX 77380-1375
Business, Estate Planning and International
University of San Diego School of Law and Universidad de Monterrey School of Law
Antonio Gastélum is a partner at MEG International Counsel, PC, and until recently, the principal of an independent Registered Investment Adviser (RIA), exclusively dedicated to international estate, business, and financial planning. Antonio is a law graduate of the Universidad de Monterrey, in Monterrey, Nuevo Leon, Mexico. He obtained his master's degree in Comparative Law and Business Planning from the University of San Diego School of Law, as well as his Chartered Life Underwriter designation from the American College of Financial Services.
Antonio Gastélum is a licensed attorney in Mexico and Texas, but not in California. In Texas, he leads the firm’s...
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Leila Shaver
Alpharetta, GA Lawyer
With a strong focus on the RIA space, I provide valuable counsel to RIAs of all sizes, from start-ups to firms managing billions of dollars in assets. As a Chief Compliance Officer and Securities Attorney, I understand the evolving challenges faced by RIAs and the importance of maintaining compliance.
At My RIA Lawyer, we are dedicated solely to serving the RIA community, making us the go-to law firm for RIA compliance and legal matters. Our team of RIA compliance and legal nerds are ready to assist you in navigating the complex legal landscape of the RIA world. We provide tailored solutions...
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Doug Hyman
Chicago, IL Attorney with 29 years of experience
Employment, Securities and Stockbroker Fraud
For over 25 years Doug Hyman has been representing investors, brokerage firms, registered representatives, investment advisor representatives and RIAs in various types of matters relevant to the financial services industry, both in the context of general counseling and in connection with representing clients nationwide in arbitrations and in state/federal courts.
At Lewitas Hyman PC, our core values include putting the client first and providing cost-effective counsel coupled with professional and aggressive advocacy.
Doug is also committed to serving his profession and community. For many years he has served as Treasurer for the Association of Securities and Exchange Commission Alumni Association, a non-profit...
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Georgiene Alsdorf
Columbus, OH Attorney with 23 years of experience
I am an attorney and shareholder at Carlton Fields, a national law firm that provides innovative and strategic solutions to clients in the financial services industry. I have experience advising clients on complex issues involving the creation, marketing and operation of retirement products, platforms and service providers. My main areas of focus include the Employee Retirement Income Securities Act (ERISA), ERISA's fiduciary provisions, the Internal Revenue code, regulation of IRAs and other employee benefit plans. My clients for the last decade have been platform providers, trust banks, RIAs, Broker Dealers, Third Party Administrators, and insurance companies. I hold...
Claimed Lawyer ProfileOffers Video ConferencingSocial Media
Ryan Smith
Arlington, VA Attorney
Offers Video ConferencingVideo ConfSecurities
George Mason University School of Law