Members of our firm have more than 100 years of combined experience in the securities industry and in securities law. Our attorneys have each received a law degree from an accredited law school. The founder of our firm also earned an advanced law degree (LLM) in Securities Regulations from Georgetown Law School in Washington, D.C. Most of our attorneys also worked as licensed securities brokers at major brokerage firms, some serving as vice president and/or in supervision and compliance at those firms. Most of the members of our staff and consultants also worked at investment and brokerage firms and many of them were also licensed representatives and/or supervisors. Collectively, the members of our team have worked for dozens of securities firms, including almost every major brokerage firm on Wall Street.
Our firm has a team of attorneys, consultants and others with more than 100 years of combined experience in the securities industry and in securities law. Since 1990, we have represented thousands of investors nationwide to recover losses. We have represented clients in Federal and state courts and in arbitration through The Financial Industry Regulatory Authority (FINRA), the New York Stock Exchange Inc. (NYSE), the American Arbitration Association (AAA) and in private arbitration actions.