Search for "Finra "

Robert W. Pearce
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Robert W. Pearce
(800) 732-2889 1499 W Palmetto Park Rd #400
Boca Raton, FL 33486
Free ConsultationOffers Video ConferencingVideo ConfBoca Raton, FL Attorney with 43 years of experience
Arbitration & Mediation, Securities and Stockbroker Fraud
Maurice A. Deane School of Law at Hofstra University
By hiring Robert w. Pearce, you will have the benefit of 43 years experience gained in complex securities, commodities and investment fraud disputes on both sides of the table. He is one of the most experienced Financial Industry Regulatory Authority (FINRA) arbitration attorneys winning his first investor case in 1983 after working 3 years with the SEC in NYC and moving to Florida. He has earned a peer rating of AV Preeminent continuously since 1996 through the Martindale-Hubbell peer review rating process, the highest available rating through that program. Mr. Pearce has been one of Thomson Reuters Florida Super...
Scott L. Silver
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Scott L. Silver
(954) 755-4799 11780 W Sample Rd
Coral Springs, FL 33065
Free ConsultationOffers Video ConferencingVideo ConfCoral Springs, FL Attorney with 28 years of experience
Arbitration & Mediation, Securities and Stockbroker Fraud
University of Miami School of Law
Scott Silver has spent his entire legal career practicing securities and financial services law. Scott focuses his law practice on securities arbitration and litigation and plaintiff-side class action litigation, representing individual investors and institutions in claims against brokerage firms, investment advisors, commodities firms, hedge funds and others. Scott also routinely serves as counsel to receivers and trustees in matters relating to the recovery of investor losses in Ponzi schemes. Scott has extensive experience in arbitration before the Financial Industry Regulatory Authority (FINRA), the National Futures Association (NFA), and the American Arbitration Association (AAA). He has recovered millions of...
Chad M. Ostrosky
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Chad M. Ostrosky
Pittsburgh, PA Attorney with 7 years of experience
(412) 444-8529 445 Fort Pitt Blvd.
Suite 100
Pittsburgh, PA 15219
Free ConsultationOffers Video ConferencingVideo ConfBusiness, Securities and Stockbroker Fraud
University of Pittsburgh School of Law
Attorney Chad M. Ostrosky represents investors, business owners, and financial professionals nationwide with extensive experience in FINRA arbitrations, investment loss recovery, financial services employment matters, and defending against SEC, FINRA, CFP, and state investigations. Attorney Ostrosky provides straight forward, simple advice ensuring that each of his clients fully understand all available options. He is a Life Member of the Million Dollar Advocates Forum®, The Top Trial Lawyers in America®. Additionally, Attorney Ostrosky serves or has served as an arbitrator for the Financial Industry Regulatory Authority (FINRA), the National Futures Association (NFA), and the Westmoreland County Court of Common Pleas.
W. Scott Greco
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W. Scott Greco
McLean, VA Lawyer with 29 years of experience
(877) 821-5550 1300 Old Chain Bridge Rd
McLean, VA 22101
Free ConsultationArbitration & Mediation, Securities and Stockbroker Fraud
William & Mary Marshall-Wythe School of Law
W. Scott Greco has thirty years of experience arbitrating and litigating investor claims against stockbrokers and investment advisers for claims of securities fraud, churning, unauthorized trading, theft, unsuitable recommendations, and other broker malpractice. These proceedings include FINRA arbitrations, AAA arbitrations, and lawsuits in federal and state courts. Mr. Greco is currently admitted to practice in Virginia, Maryland, and Washington, D.C., but represents investors across the country. He received his B.A. in Foreign Affairs from the University of Virginia in 1991 and his J.D. from the College of William and Mary, Marshall-Wythe School of Law in 1994. Mr. Greco regularly appears...
Steven Windsor McDonald
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Steven Windsor McDonald
Denver, CO Lawyer with 38 years of experience
(303) 830-1700 4380 S. Syracuse Street
Suite 304
Denver, CO 80237-2626
Free ConsultationArbitration & Mediation, Business and Securities
Mr. McDonald's practice consists of business, corporate and securities representation, as well as securities and commercial litigation and securities and corporate transactions. He has counseled clients in various financings and securities transactions, including public and private offerings, mergers and acquisitions and tender offers. He has also represented investment advisers and broker-dealers. He also advises public reporting clients regarding corporate governance, disclosure/reporting and compliance matters. In addition, Mr. McDonald regularly advises businesses on choice of entity and formation matters. His securities litigation practice has included representing plaintiffs and defendants in complex class and derivative actions, representing underwriters with respect to county...
Sean T Prosser
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Sean T Prosser
Los Angeles, CA Lawyer with 31 years of experience
(424) 259-4004 2029 Century Park East
Suite 3100
Los Angeles, CA 90067
Free ConsultationAdministrative, Securities, Stockbroker Fraud and White Collar Crime
New York Law School
Sean Prosser defends clients facing investigations and enforcement actions by the U.S. Securities and Exchange Commission (SEC), U.S. Department of Justice (DOJ), including FBI and Grand Jury proceedings, and other government agencies. He also defends companies and their executives in shareholder litigation. With offices in San Diego and Los Angeles, Sean leads Mintz Levin’s California Securities Litigation practice. His clients include public and private companies, officers and directors, board committees, broker-dealers, banks, investment advisors, hedge funds, CPAs, individual stock traders and public officials. Sean regularly represents clients before the following agencies and regulators: U.S. Securities and Exchange Commission...
Scott Daniel Smith
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Scott Daniel Smith
Houston, TX Lawyer with 21 years of experience
(713) 955-6030 815 Walker St Ste 1440
Houston, TX 77002
Appeals, Arbitration & Mediation, Business and Consumer
Boston University School of Law and South Texas College of Law
Scott D. Smith is a seasoned trial lawyer who has obtained favorable verdicts for clients on both sides of the docket. Mr. Smith has experience in all phases of litigation in both state and federal courts throughout the United States, including resolving a broad array of business and commercial disputes, as well as having extensive experience representing financial advisers and financial institutions in financial services litigation in FINRA and AAA arbitration proceedings. He frequently represents financial advisers and financial institutions in employment disputes, securities enforcement actions, as well as regulatory and compliance matters, and assists his clients...
Daniel Bakondi
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Daniel Bakondi
San Francisco, CA Lawyer with 18 years of experience
(415) 450-0424 870 Market Street, Suite 1157
San Francisco, CA 94102
Free ConsultationBusiness, Energy, Real Estate and Stockbroker Fraud
Golden Gate Univ School of Law
Securities fraud attorney, finra arbitration services, investment fraud, stock broker fraud, and other securities attorney services. Contact me to discuss your case.
Robert L. Herskovits
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Robert L. Herskovits
(212) 897-5410 305 Broadway 7th Floor
New York, NY 10007
Free ConsultationNew York, NY Lawyer
Arbitration & Mediation, Employment, Securities and Stockbroker Fraud
Benjamin N. Cardozo School of Law
Robert has decades of experience with disputes and investigations concerning the securities industry. Robert approaches each assignment with the benefit of having served as an in-house lawyer for a brokerage firm, and also having sat as a FINRA arbitrator for securities industry disputes. Robert’s practice is focused on securities litigation/arbitration and regulatory enforcement matters before FINRA and the SEC and CFTC. Robert advises broker/dealers, investment advisers, securities industry professionals and defrauded investors in varied litigation, arbitration and regulatory matters. Robert is certified as an arbitrator for FINRA, AAA and the NFA.

An active participant in the bar, Robert has...
Mark J. Astarita
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Mark J. Astarita
New York, NY Attorney with 42 years of experience
(212) 509-6544 11 Broadway
Suite 615
New York, NY 10004
Free ConsultationOffers Video ConferencingVideo ConfArbitration & Mediation, Business, Securities and Stockbroker Fraud
New York Law School
My legal practice has always involved the representation of stock market participants, including investors, financial professionals and firms, nationwide. My work includes representation of in connection with FINRA Examinations and Enforcement Proceedings, as well as SEC investigations. I also represent individual brokers from virtually every major firm in their contract negotiations, employment termination, U-4 and U-5 issues. In specialized situations where the facts or law present novel issues, I also represent investors. I have appeared before arbitration panels and regulators in 22 states, have written legal columns for a number of industry publications, been a...
Jenice Malecki
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Jenice Malecki
New York, NY Attorney with 32 years of experience
(212) 943-1233 11 Broadway
#715
New York, NY 10004
Free ConsultationOffers Video ConferencingVideo ConfBusiness, Employment, Securities and Stockbroker Fraud
New York Law School
Jenice L. Malecki is a well-known securities attorney and the founder of Malecki Law. She is a successful and aggressive litigator with a uniquely diverse background representing thousands of investors and industry professionals. Ms. Malecki’s experience as a New York securities attorney began in class action litigation, working on the famed class action case In re Crazy Eddie. Throughout the 1990’s she represented numerous broker dealers in “boiler room” stock fraud cases and the progeny of the real-life Wolf of Wall Street. She has been the Vice-President on the board of the PIABA Foundation, with a mission to educate...
David R. Chase
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David R. Chase
Fort Lauderdale, FL Lawyer with 32 years of experience
(954) 920-7779 1700 E Las Olas Blvd
#305
Fort Lauderdale, FL 33301
Free ConsultationArbitration & Mediation, Securities and Stockbroker Fraud
University of Miami School of Law
David R. Chase, a securities lawyer, has an extensive background in SEC and FINRA securities regulatory defense, as well as the representation of defrauded stock market investors in cases to recover their investment losses.

Mr. Chase began his legal career at Greenberg Traurig, an international law firm in Miami, where he represented securities and financial firms in securities cases and SEC and FINRA investigations.

Thereafter, he accepted a position as Staff Counsel in the Enforcement Division of the U.S. Securities and Exchange Commission, where he worked for almost four years, ultimately obtaining the title of Senior Counsel. For part of that time,...
Sandra P. Lahens
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Sandra P. Lahens
New York, NY Attorney with 19 years of experience
(212) 696-1999 350 Fifth Avenue
Suite 4640
New York, NY 10118
Free ConsultationArbitration & Mediation, Business, Employment and Securities
Fordham University School of Law
Sandra P. Lahens is a partner at Lax & Neville LLP. Sandra’s practice involves representing businesses and individuals in commercial litigation and arbitration regarding securities and investment disputes, employment matters and regulatory investigations. She has successfully arbitrated and mediated cases before the Financial Industry Regulatory Authority (“FINRA”), the American Arbitration Association (“AAA”), JAMS, and litigated cases in federal and state courts, including in appeals before the New York Court of Appeals for the Second Circuit and the New York State Appellate Division.

Sandra represents investors nationwide in customer sales practice disputes against their registered representatives, broker dealers and registered investment advisors...
Ross B. Intelisano
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Ross B. Intelisano
(212) 684-0300 183 Madison Ave
#1601
New York, NY 10016
Free ConsultationOffers Video ConferencingVideo ConfNew York, NY Attorney with 29 years of experience
Arbitration & Mediation, Employment, International and Stockbroker Fraud
Brooklyn Law School
Ross B. Intelisano is a founding partner of Rich, Intelisano & Katz, LLP. He represents individual and institutional investors in securities arbitration and litigation against financial firms, employees in industry disputes, employees in transitions from one financial firm to another, and employees in self-regulatory organization investigations.

Ross has over two decades of experience trying large and complex financial fraud cases on behalf of investors worldwide, including winning the largest arbitration award ever against Goldman Sachs. His clients include high net worth individuals, family offices, hedge funds, funds of funds, endowments, non-profits and other institutions in claims against...
Julian Rivera Aspinall
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Julian Rivera Aspinall
(787) 792-8644 1647 Adams St.
Summit Hills
San Juan, PR 00920
Free ConsultationOffers Video ConferencingVideo ConfSan Juan, PR Attorney with 32 years of experience
Arbitration & Mediation, Business, Personal Injury and Securities
Inter-American University of Puerto Rico
Managing Partner for a San Juan, Puerto Rico law firm that concentrates its legal practice in three major areas: Personal Injury (Plaintiff) ; Business Litigation ( Commercial Disputes, Arbitration, Mediation, Finra Broker Claims, Contracts) and Real Estate. Danos y Perjuicios, Accidentes, Caidas, Reclamaciones Comerciales, FINRA, Bienes Raices, Notario Publico. Consulta Inicial Gratuita. www.ragflaw.com Call us for a free initial consultation or write to us at admin@ragflaw.com.
Michael J. Betts
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Michael J. Betts
Pittsburgh, PA Lawyer with 43 years of experience
(412) 935-7073 1310 Old Freeport Rd
#38537
Pittsburgh, PA 15238
Arbitration & Mediation, Employment, Securities and Stockbroker Fraud
University of Pittsburgh School of Law
I am the principal of Michael J. Betts LLC and have over thirty-eight years of experience handling a broad range of civil litigation matters, with an emphasis on commercial litigation and business disputes, securities litigation, FINRA arbitrations and other investment-related claims, trade secret and restrictive covenant litigation and professional negligence claims.

I also serve as an alternative dispute resolution neutral and have been selected by litigants to serve as mediator in numerous cases. I am certified as a mediator by the United States District Court for the Western District of Pennsylvania. I also am on the national arbitrator rosters...
Leonard E. Hudson
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Leonard E. Hudson
Naperville, IL Attorney
(630) 527-1595 1770 Park St
#200
Naperville, IL 60563
Free ConsultationOffers Video ConferencingVideo ConfAntitrust, Appeals, IP and Insurance Claims
The John Marshall Law School
High-Stakes Litigation - Business Disputes - Franchise Litigation

I represent individuals and companies in high-stakes lawsuits, business and investment disputes, and franchise matters. I trained at a top global law firm where I practiced complex commercial litigation for a decade. I practice now at a boutique law firm where I help entrepreneurs and small businesses with their most important "bet the company" matters.

My practice includes:
- Contract disputes
- Fraud cases
- Franchising and dealer terminations and regulatory compliance
- Securities & commodities litigation / enforcement and...
Robert K. Savage
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Robert K. Savage
(813) 200-0013 400 N Tampa St. #2820
Tampa, FL 33602
Tampa, FL Attorney with 30 years of experience
Business, Insurance Defense and Stockbroker Fraud
University of Florida Levin College of Law
Robert "Bert" Savage is a New Jersey native who has been living in Florida since college. He earned his law degree and master of business administration from the University of Florida and has been a member of the Florida Bar since January 1994. Mr. Savage has significant experience in all manner of investor stock and investment losses. He is licensed to practice in all Florida state courts and the Federal District Courts for the Middle District and the Southern District of Florida Since graduating from the University of Florida with his undergraduate, master of business administration and law degrees, Mr....
Samuel B. Edwards
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Samuel B. Edwards
(800) 259-9010 1010 Lamar St
#900
Houston, TX 77002
Free ConsultationOffers Video ConferencingVideo ConfHouston, TX Lawyer with 22 years of experience
Arbitration & Mediation, Securities and Stockbroker Fraud
Georgetown University Law Center and University of Houston Law Center
Sam Edwards is a partner at SSEK and has developed a wide-ranging practice representing individuals and institutions from the United States and almost every continent in the world in investment and financial disputes. Over the last decade, that representation has included hundreds of clients who range from retirees that have lost their life savings, to community banks and credit unions who have been defrauded by Wall Street in investment schemes or bad products, to states and municipalities defrauded by investment banks. The cases Mr. Edwards has worked on include claims for unsuitable investment recommendations, churning, misrepresentations and outright fraud. The investments...
Adam Gana
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Adam Gana
28 Valley Rd
#1
Montclair, NJ 07042
Free ConsultationMontclair, NJ Lawyer with 18 years of experience
Appeals, Business, Insurance Claims and Securities
New York Law School
Adam Gana serves as the managing partner of the law firm of Gana Weinstein LLP. His practice focuses on all aspects of securities arbitration. Mr. Gana's experience includes securities arbitration and litigation in various dispute resolution forums including JAMS, NFA and FINRA and litigation in both State and Federal Courts. As lead counsel, Mr. Gana has tried more than forty cases to verdict before the state and federal trial and appellate courts, AAA, and has settled hundreds more cases through mediation and direct negotiation.

Mr. Gana was named in the New York Super Lawyers Rising Stars® for eight straight years (an...
Jeffrey Erez
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Jeffrey Erez
Miami, FL Attorney with 27 years of experience
(305) 728-3320 1 SE 3rd Ave #1670
Miami, FL 33131
Free ConsultationArbitration & Mediation, Business and Securities
University of Miami School of Law
As founder of Erez Law, PLLC, Jeffrey Erez dedicates himself to protecting investors from dishonest brokers. He now focuses exclusively on securities arbitration and litigation. After graduating cum laude from McGill University, Mr. Erez earned his law degree cum laude from The University of Miami Law School in 1996. Throughout his career, he has obtained over $100 million in recoveries for clients in thousands of FINRA arbitrations and other securities cases. In the press, Mr. Erez is often quoted in securities-related articles. If you're an investor with any legal matter regarding securities, Mr. Erez is committed to passionately seeking justice...
Barry R. Lax
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Barry R. Lax
New York, NY Lawyer with 30 years of experience
(212) 696-1999 350 Fifth Avenue
Suite 4640
New York, NY 10118
Free ConsultationBusiness, Employment and Securities
Yeshiva University, Benjamin N. Cardozo School of Law
Barry R. Lax, a founding partner of Lax & Neville LLP, has an extensive background in commercial, employment and securities litigation in all forums, including, state and federal courts, and arbitrations before the Financial Industry Regulatory Authority, Inc. (“FINRA”), National Futures Association (“NFA”), Judicial Arbitration and Mediation Services (“JAMS”) and the American Arbitration Association (“AAA”). Since forming Lax & Neville LLP in 2007, Mr. Lax has represented customers and broker/dealers in disputes regarding sales practice issues and product problem cases and has successful represented hedge fund investors and general partners in complicated commercial and securities litigations throughout his career....
James D. Sallah
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James D. Sallah
Boca Raton, FL Attorney with 28 years of experience
(561) 989-9080 3010 N Military Trl
#210
Boca Raton, FL 33431
Free ConsultationArbitration & Mediation, Business, Securities and Stockbroker Fraud
University of Miami
Mr. Sallah is an AV Preeminent® rated attorney who concentrates on securities and commodity futures regulation and enforcement, broker-dealer compliance and defense, receivership litigation, securities arbitration, and business litigation.

Since leaving the Securities and Exchange Commission in 2004, Mr. Sallah has represented national and regional brokerage firms, as well as publicly traded companies and individuals, in a variety of matters, including SEC, FINRA, stock exchange, and state regulatory investigations, congressional investigations, internal investigations, federal and state lawsuits, administrative actions, and arbitrations. He has successfully handled matters through trial, arbitration, and regulatory enforcement proceedings. Mr. Sallah has also represented individuals in Congressional...
Jon Andrew Jacobson
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Jon Andrew Jacobson
West Palm Beach, FL Attorney with 25 years of experience
(800) 801-5572 330 Clematis
Suite 116
West Palm Beach, FL 33401
Free ConsultationArbitration & Mediation, Employment, Securities and Stockbroker Fraud
Duke University School of Law
Jon has spent his entire legal career practicing securities. He handled over 1,000 securities matters and has successfully represented some of the most demanding clients in multi-million-dollar disputes throughout Florida and United States. He has represented individual and corporate clients in civil actions in state and federal court (at the trial and appellate level); in regulatory investigations; in arbitrations; and in private mediations.

Jon has handled a wide range of matters, including: (i) stockbroker misconduct and investment fraud disputes (including claims involving unsuitability, churning, unauthorized trading, failure to execute trades, failure to hedge, selling away, theft, research analyst conflicts of...
Darren C. Blum
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Darren C. Blum
Fort Lauderdale, FL Attorney with 28 years of experience
(877) 786-2552 110 E Broward Blvd
#1700
Fort Lauderdale, FL 33301
Free ConsultationArbitration & Mediation, Securities and Stockbroker Fraud
Shepard Broad Law Center, Nova Southeastern University
Mr. Blum spent many years in the financial services industry as a licensed stock and commodity broker trading for institutions and private individuals prior to becoming an attorney. He worked in the "pits" of the Commodity Exchange in the World Trade Center in New York. Mr. Blum then combined his extensive experience and knowledge of the securities industry with a law degree and joined one of the largest and most prestigious law firms in the world, with sixteen offices and over five hundred attorneys. Mr. Blum learned the inner workings of the arbitration process during his tenure at NASD Dispute Resolution,...
Michael H. Izsak
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Michael H. Izsak
St. Louis, MO Attorney with 38 years of experience
(314) 863-1117 1125 Olivette Executive Pkwy
#120
St. Louis, MO 63132
Free ConsultationConstruction, Real Estate and Workers' Comp
Washington University School of Law
Specialties: Personal Injury, Wrongful Death, Workers Compensation, General Negligence, Business and Commercial Litigation, Fraud, Breach of Contract, Construction Law, Mechanic's Liens; Real Estate, Commercial Lease matters, Commercial Lease negotiation and enforcement, Stock Broker Negligence and Fraud /FINRA Arbitration Franchise and Trademark enforcement, Employee Non-compete and Trade Secret disputes, General Business Counsel.
David Liebrader
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David Liebrader
Las Vegas, NV Attorney with 31 years of experience
(702) 380-3131 3960 Howard Hughes Pkwy
#500
Las Vegas, NV 89169
Free ConsultationBusiness, Securities and Stockbroker Fraud
California Western School of Law and University of California - Los Angeles
David Liebrader is an experienced Nevada investment loss recovery attorney with offices in Las Vegas. For over 30 years he has been representing victims of investment fraud throughout the country. He is a FINRA arbitrator, a member of the Public Investors Arbitration Bar Association, and serves as a Nevada District Court Judge Pro Temp. Trust only an experienced Nevada attorney on your Nevada case.
Jason Thomas Riddick
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Jason Thomas Riddick
Los Angeles, CA Attorney with 19 years of experience
(213) 699-1355 445 S Figueroa St
#3100
Los Angeles, CA 90071
Arbitration & Mediation, Bankruptcy, Business and Real Estate
University of California - Berkeley
Jason Riddick is an experienced and entrepreneurial business litigator representing both Plaintiffs and Defendants in state and federal courts throughout the country. Jason’s practice focuses on complex business litigation, including contract and business tort disputes, defamation, securities, trade secrets, and corporate governance disputes. Jason also represents clients in connection with internal investigations, class actions, SEC enforcement matters, FINRA inquiries, arbitrations, and employment matters.

Jason’s clients include financial institutions, registered representatives, employers, entertainment and pharmaceutical companies, manufacturers, insurers, investors, and high net worth individuals. Jason has extensive expertise with trial and pretrial motions, taking and defending depositions, and devising trial and settlement...
Joshua A. Katz
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Joshua A. Katz
Boca Raton, FL Attorney with 20 years of experience
(561) 989-9080 3010 N Military Trl
#210
Boca Raton, FL 33431
Free ConsultationArbitration & Mediation, Business, Securities and Stockbroker Fraud
University of Miami School of Law
Joshua A. Katz practices in the areas of Securities Arbitration and Litigation, Complex Commercial Litigation, Securities Regulation and Enforcement, Receivership Litigation, and Broker-Dealer Compliance and Defense.

Since 2004, Mr. Katz has focused his practice in the area of broker-dealer arbitration before FINRA, or the Financial Industry Regulatory Authority, formerly known as the NASD or National Association of Securities Dealers. Mr. Katz has extensive experience representing public investors, brokers, and broker-dealers in arbitrations.

Prior to joining Sallah Astarita & Cox, Mr. Katz was an associate for the law firm of Klein & Sallah, LLC. He has advised and represented brokerage firms in proceedings...
Robert J. Grand
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Robert J. Grand
New York, NY Attorney with 29 years of experience
(212) 696-1999 350 Fifth Avenue
Suite 4640
New York, NY 10118
Free ConsultationBusiness, Employment and Securities
Benjamin N. Cardozo School of Law
Robert J. Grand is of counsel to Lax & Neville LLP. Mr. Grand’s practice is focused on representing corporations and individuals in complex civil litigation and arbitration involving securities and other financial products, employment, real estate, intellectual property, unfair business practices, and other commercial tort-related matters before federal and state courts, and private arbitration panels. Mr. Grand represents investors, financial service professionals, investment funds and financial institutions in securities litigation and arbitration, as well as in investigations and enforcement proceedings initiated by regulatory agencies such as FINRA, the SEC, and the CFTC.

Mr. Grand has extensive experience representing founders, partners, joint...
Robert R. Miller
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Robert R. Miller
New York, NY Attorney
(212) 696-1999 350 Fifth Avenue
Suite 4640
New York, NY 10118
Free ConsultationBusiness, Employment and Securities
New York University School of Law
Robert R. Miller is an associate at Lax & Neville LLP with a practice primarily in securities, employment, and corporate disputes before the Financial Industry Regulatory Authority (“FINRA”) the American Arbitration Association (“AAA”), and state and federal courts.

He represents individual investors in their claims against brokers, broker-dealers, and wealth managers for abusive customer sales practices, such as fraud, churning, unsuitability, and breach of fiduciary duty; brokers and other financial services professionals in a broad range of matters, including transitions between firms and disputes over deferred compensation, promissory notes, Form U-5 expungements, and employment agreements; and broker-dealers and other financial services...
Patricia Klusmeyer
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Patricia Klusmeyer
Atlanta, GA Lawyer
(855) 322-2057 2987 Clairmont Rd
#200
Atlanta, GA 30329
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...
Jessica Murzyn
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Jessica Murzyn
(212) 684-0300 183 Madison Ave
#1601
New York, NY 10016
Offers Video ConferencingVideo ConfNew York, NY Attorney with 24 years of experience
Arbitration & Mediation, Business, Consumer and Securities
University of Pennsylvania
Jessica A. Murzyn has been a senior counsel at Rich, Intelisano & Katz, LLP since April 2013. Ms. Murzyn represents individual and institutional investors in securities arbitrations and litigation against financial firms.

Prior to joining Rich, Intelisano & Katz, LLP, Ms. Murzyn was an associate at Friedman Kaplan Seiler & Adelman LLP from October 2008 to March 2013. At Friedman Kaplan, she represented a variety of individual and corporate clients in securities, real estate and general commercial litigation and arbitrations. For example, she represented a high net worth client in a FINRA arbitration against the client’s investment...
Diane Mall Sammarco
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Diane Mall Sammarco
(212) 684-0300 183 Madison Ave
#1601
New York, NY 10016
Offers Video ConferencingVideo ConfNew York, NY Lawyer with 25 years of experience
Business, Construction, Employment and Securities
Brooklyn Law School and Binghamton University
Diane Mall Sammarco is Of Counsel to Rich, Intelisano & Katz, LLP. Ms. Sammarco represents investors in securities arbitration and litigation against financial firms, as well as employees in industry disputes and self-regulatory investigations. Ms. Sammarco joined the firm’s predecessor, Rich & Intelisano, LLP, in 2008.

In June 2010, Ms. Sammarco was part of the team at Rich & Intelisano, LLP that won the Bayou v. Goldman Sachs Execution & Clearing case: a $20.6 million FINRA arbitration award against Goldman Sachs related to the Bayou hedge fund fraud. The 18-day hearing generated a 100% recovery of the compensatory damages requested. It...
Lee M. Holland
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Lee M. Holland
Concord, MA Lawyer with 22 years of experience
(978) 405-3314 300 Baker Avenue
Suite 300
Concord, MA 01742-2124
Arbitration & Mediation, Securities and Stockbroker Fraud
Cornell University
With over 16 years of experience providing strategy and support through all stages of litigation, I have a keen instinct for finding creative ways to contribute effectively to legal strategies.

Regulatory Compliance Professional (CRCP) certification awarded in December 2016 from FINRA’s Wharton Institute enhances skills in protecting the economic security of consumers with an informed view of the industry's perspective on regulatory initiatives and an appreciation of necessary capital formation goals.

Possesses a deep understanding of anti money laundering policies in domestic and international contexts, cross-border jurisdictional and enforcement challenges, evolving standards concerning broker and adviser duties relating to proprietary...
Darlene  Pasieczny
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Darlene Pasieczny
(800) 647-8130 111 SW 5th Ave
#3800
Portland, OR 97204
Portland, OR Attorney with 11 years of experience
Appeals, Arbitration & Mediation, Securities and Stockbroker Fraud
Lewis & Clark Law School
Darlene Pasieczny ("Pah-shetch-nee") is a securities and fiduciary litigator and appellate attorney at Samuels Yoelin Kantor LLP. She leads the Investor Defenders practice group to recover investment losses caused by broker or registered financial adviser misconduct or defective securities products, in FINRA arbitration and other dispute resolution forums. Darlene also represents trustees, personal representatives, beneficiaries, and interested parties in trust and estate disputes such as will contests, undue influence claims, nonjudicial amendments to trust terms, and elder financial abuse cases. These are typically cases brought before probate courts. Darlene is also an experienced appellate attorney, having successfully represented clients in...
Celiza (Lisa) Bragança
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Celiza (Lisa) Bragança
(847) 906-3460 5250 Old Orchard Rd
#300
Skokie, IL 60077
Free ConsultationOffers Video ConferencingVideo ConfSkokie, IL Attorney with 31 years of experience
Business, Securities, Stockbroker Fraud and White Collar Crime
University of Illinois Chicago School of Law
Lisa Bragança protects individuals and businesses from being bilked by Wall Street and bullied by regulators. She knows how to get important information to securities regulators early, before they have reached a decision on whether to charge and what to charge. Lisa served as a Branch Chief in the Division of Enforcement of the Chicago Office of the Securities & Exchange Commission, where she handled investigations of accounting fraud, Ponzi schemes, insider trading, churning, and unsuitability. While at the SEC, Lisa collaborated with the federal criminal prosecutors in securities fraud investigations at major corporations. Since leaving the SEC, Lisa has...
Jeremy Scott Bloom
Weehawken, NJ Lawyer with 21 years of experience
(201) 352-4951 1000 Harbor Blvd FL 8
Weehawken, NJ 07086
Arbitration & Mediation, Securities and Stockbroker Fraud
University of Michigan Law School
Jeremy Bloom practices in the fields of government investigations and litigation, securities arbitration, complex commercial litigation, and securities enforcement and compliance. From March 2002 until July 2005, Mr. Bloom was an associate in the Corporate Finance Department of Skadden, Arps, Slate, Meagher & Flom in New York City. Mr. Bloom then joined the New York Stock Exchange as an attorney in its Division of Enforcement in August 2005. Mr. Bloom was Trial Counsel in NYSE Regulation's Division of Enforcement in 2007 when he, along with most of the Division of Enforcement, combined with the NASD's Enforcement Department to form the Enforcement...
Daniel D'Costa
Claimed Lawyer ProfileSocial Media
Daniel D'Costa
(516) 526-3082 100 Duffy Ave
#510
Hicksville, NY 11801
Free ConsultationHicksville, NY Attorney with 8 years of experience
Personal Injury and Securities
Brooklyn Law School
Daniel D’Costa, Esq. is the managing partner at D’Costa Law, P.C. His practice focuses on FINRA securities arbitration, fraud, personal injury, workers’ compensation, and insurance provider denials of no-fault benefits for both injured parties and health care providers. As an experienced litigator, Daniel has represented all types of clients around the nation and abroad in court and various forms of alternative dispute resolution forums. Daniel is passionate about the law, his clients and providing personal attention to each of his clients in order to make the legal process as stress free as possible while achieving the best possible outcome. Daniel represents...
Lawrence Lee Klayman
Claimed Lawyer ProfileOffers Video ConferencingSocial Media
Lawrence Lee Klayman
Boca Raton, FL Lawyer with 29 years of experience
(888) 997-9956 1200 N Federal Hwy
200
Boca Raton, FL 33432
Free ConsultationOffers Video ConferencingVideo ConfSecurities and Stockbroker Fraud
Shepard Broad Law Center, Nova Southeastern University
Lawrence L. Klayman, a Brooklyn native, is the founding partner of KlaymanToskes, P.A. His practice is exclusively limited to securities arbitration and litigation. Lawrence is a former licensed financial advisor who has spent decades applying what he has learned from working inside the securities industry to fight for the rights of injured investors. Lawrence understands what motivates financial advisors, he understands the complex products they sell, and he understands the imperfect compliance requirements set in place for the protection of investors. While attending Nova Southeastern University- Shepherd Broad Law Center, Lawrence received firsthand experience at the National Association of Securities Dealers...
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