Piedmont Securities Lawyers
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Braden Perry
Mission Woods, KS Securities Law Lawyer with 23 years of experience
(816) 527-9447
Ext. 8165279447
2000 Shawnee Mission Parkway
Suite 210
Mission Woods, KS 66205
Securities and White Collar Crime
University of Kansas School of Law
Braden Perry, is a regulatory and government investigations attorney with Kennyhertz Perry, LLC. Mr. Perry has the unique tripartite experience of a white collar criminal defense and government compliance, investigations, and litigation attorney at a national law firm; a senior enforcement attorney at a federal regulatory agency; and the Chief Compliance Officer/Chief Regulatory Attorney of a global financial institution. Mr. Perry has extensive experience advising clients in CFTC inquiries and investigations, particularly in enforcement matters involving data issues. He couples his technical knowledge and experience defending clients in front of federal agencies with a broad-based understanding of compliance from...
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John C. Kennyhertz
Mission Woods, KS Securities Law Attorney with 19 years of experience
(816) 527-9447
2000 Shawnee Mission Parkway
Suite 210
Mission Woods, KS 66205
Securities, Business, Real Estate and White Collar Crime
Washburn University School of Law
A Kansas City native, attorney John Kennyhertz previously served General Counsel for a Kansas City-based private equity firm, and now focuses his practice on business transactions and corporate law matters.
As an M&A lawyer, John has a unique set of skills and experience having represented parties on all sides of a transaction. In his former capacity as General Counsel, Mr. Kennyhertz was responsible for the oversight and management of the private equity firm’s non-real estate legal matters, as well as the risk management and compliance for each entity comprising the firm’s portfolio. Prior to this role, Mr....
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Marc S. Wilson
Overland Park, KS Securities Law Attorney
Securities, Business, Stockbroker Fraud and White Collar Crime
Boston University School of Law and Boston University School of Law
Marc is a former Kansas Securities Commissioner, now practicing securities, banking, financial and investment law. He holds J.D. and LL.M. (banking & financial law) degrees from Boston University School of Law, and an M.B.A. from the Questrom School of Business at Boston University.
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