My practice is devoted almost exclusively to securities law. I am fortunate enough to have experience in all of the three key areas: enforcement, regulation of broker dealers, and the representation of investors.
Over the last 30 years I have represented investors in state and federal court and in well over 100 arbitrations advancing claims for unsuitability, churning, unauthorized trading, breach of contract, negligence, fraud and conversion. I am admitted to practice law in New York and New Jersey.