Little York,
New Jersey
Securities Lawyers
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Adam Gana
Montclair, NJ Securities Law Lawyer with 13 years experience
28 Valley Rd
#1
Montclair,
NJ 07042
Free ConsultationSecurities, Appeals, Business and Employment
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...
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Securities, Business, Health Care and Tax
Seton Hall University School of Law
Mr. Timoni is an established business lawyer and Certified Public Accountant with more than 35 years’ experience in the health care, real estate and hospitality industries.
His primary focus is the representation of corporations, partnerships, limited liability companies, nonprofit organizations, closely held businesses and entrepreneurs. Mr. Timoni regularly advises clients regarding entity formation and restructuring, financing, technology licensing, franchising, mergers, acquisitions and sales, joint ventures, dissolutions, taxation, valuation, corporate governance and regulatory issues. In the health care field, Mr. Timoni represents health care providers concerning managed care contracting, Medicare and Medicaid reimbursement; privacy, including HIPAA; fraud and abuse; legal and ethical...
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Securities, Business, Communications and IP
Fordham University School of Law
Robert W. Anderson’s practice emphasizes the particular needs of fast growing, entrepreneurial companies. He has extensive experience in representing business clients in connection with mergers and acquisitions, intellectual property matters, cybersecurity, securities law matters, internet law matters, and start up companies and business formations and operation.
Bob represents companies and investors involved in technology, manufacturing, health care, Internet, education, and other industries. He also serves as President of The Parlex Group, an international network of mid-sized law firms in Europe, Israel and Asia, which work together to handle cross-border transactions around the world.
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Free ConsultationSecurities, Arbitration & Mediation, Business 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...
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Securities and Business
Fordham University School of Law
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John E. Jenkins
Cranford, NJ Securities Law Lawyer with 29 years experience
Free ConsultationSecurities, Arbitration & Mediation and Stockbroker Fraud
Fordham University School of Law
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28 Valley Rd
#1
Montclair,
NJ 07042
Free ConsultationSecurities, Arbitration & Mediation and Business
New York Law School
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David S. Stone
Berkeley Heights, NJ Securities Law Attorney with 31 years experience
Securities, Consumer, IP and Stockbroker Fraud
Harvard Law School
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Free ConsultationSecurities, Arbitration & Mediation and Criminal Defense
Syracuse University College of Law
David W. Schmidt has been handling securities arbitrations for over 30 years and has earned a national reputation as one of the most effective advocates in the field. Mr. Schmidt has represented clients in securities cases in New Jersey, New York, Florida, California, and many other jurisdictions. His experience includes cases related to broker fraud, Ponzi schemes, unsuitable trading, complex products, excessive commissions, elder law, and retirement account losses. He also has handled “selling away” cases where a broker recommends an investment that has not been approved by his firm and the firm has failed to adequately supervise the broker’s...
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Securities and Business
Seton Hall University School of Law
Mr. Handelsman practices in the area of Securities Arbitration and Litigation, Complex Commercial Litigation, Securities Regulation and Enforcement, and Broker-Dealer Compliance and Defense.
Mr. Handelsman has focused his practice in the area of broker-dealer arbitration before FINRA. Mr. Handelsman also handles matters involving commercial landlord-tenant matters in New Jersey, as well as corporate litigation in the State courts.
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M. Zev Rose
Moorestown, NJ Securities Law Lawyer with 56 years experience
Securities, Business and Real Estate
Rutgers University Law School
Zev Rose is the senior shareholder and President of Sherman Silverstein and ex-officio member of the Firm's Management Committee. Mr. Rose is a preeminent attorney, advisor, and community leader. He has practiced real estate law for more than 50 years. He has represented major clients in the acquisition, financing, development, management, and sale of shopping centers, apartment complexes, office buildings, and residential projects throughout the eastern seaboard. Mr. Rose also has consummate expertise in corporate, partnership, business and financing law and transactions.
Before entering private law practice, Mr. Rose was Law Secretary to the Honorable Mitchell H. Cohen, US District Court,...
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Securities, Business, Elder and Estate Planning
University of Miami School of Law and New York Law School
Securities, Appeals, Business and Civil Rights
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Free ConsultationSecurities, Business, Elder and Tax
Georgetown University Law Center and Rutgers School of Law-Camden
Mr. Duffy works mostly with entrepreneurs and businesses of all sizes. In addition to his J.D. from Rutgers Law School, he holds a Dual LL.M. (Master of Laws) Degree in Tax and in Securities & Financial Regulation from Georgetown Law School where he also earned a Certificate in Pensions & Benefits (part of Tax LL.M.) and was an Olin Scholar in Law & Economics. Since many of his clients are internet entrepreneurs or businesses, he is accomplished in internet law, especially CDA Section 230. Marketing is important on the Internet (and pretty much everywhere else too) that...
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Edward Dimon
Toms River, NJ Securities Law Lawyer with 48 years experience
Securities, Business, Criminal Defense and Municipal
Boston College Law School
I bring twenty years of financial experience and fifteen years of criminal law experience to the firm. My financial skills were honed at the Wall Street offices of J.P. Morgan, Chase Manhattan Bank and Kidder Peabody. My criminal law skills were developed as a Public Defender and as the First Assistant Prosecutor in Ocean County.
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David S. Rich
Englewood Cliffs, NJ Securities Law Lawyer with 24 years experience
Securities, Appeals, Business and Employment
Columbia Law School
David S. Rich is the founding member of the Law Offices of David S. Rich, LLC. Mr. Rich is a New York City Business Litigation Attorney. Mr. Rich litigates civil, commercial, employment, and securities matters in federal and state courts in New York and New Jersey, and arbitrates such matters before FINRA and other arbitral bodies. Mr. Rich also litigates appeals.
Mr. Rich has represented clients in, among other civil and commercial matters, breach of contract actions, business torts cases, bankruptcy and adversary proceedings, civil racketeering actions, oppressed minority shareholder disputes, product liability litigation, franchisor-franchisee litigation, qui tam...
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William Despo
Rumson, NJ Securities Law Attorney with 43 years experience
Securities, Arbitration & Mediation, Business and Stockbroker Fraud
Georgetown University Law Center, Vermont Law School and Michigan State University
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Raymond Murphy
Englewood, NJ Securities Law Attorney with 35 years experience
Securities, Insurance Claims, Medical Malpractice and Personal Injury
Rutgers School of Law-Newark
Highly experienced and certified trial attorney with integrity. Knowledgeable in the areas of malpractice and personal injury. Very professional and is a relentless advocate for his clients. Other lawyers trust him with their cases when they need help. Clients and lawyers can feel confident when they have Ray on their side.
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Securities and Business
University of Miami School of Law
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Free ConsultationSecurities, Estate Planning, Real Estate and Stockbroker Fraud
New York University School of Law and Fordham University School of Law
Solo attorney in Hoboken, with full practice, catering to the representation of aggrieved investors against brokers and investment firms.
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Free ConsultationSecurities, Arbitration & Mediation, Employment and Stockbroker Fraud
New York Law School
The focus of our practice is the representation of individual and institutional investors in arbitrations and litigations involving claims of breach of fiduciary duty, breach of contract, mismanagement, stock fraud, suitability, unauthorized trading, negligence and churning.
I also regularly represent those who work in the financial services regarding recruiting practices including issues relating to the Protocol for Broker Recruiting; non-solicit, non-compete and other restrictive covenants; customer privacy and other regulatory issues; best-practices for preserving a book of business through a transition; Form U5 negotiations; responding to FINRA inquiries; promissory notes; bonus disputes; team disputes; temporary restraining orders (TROs); expedited FINRA arbitrations;...
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John R. Menz
Red Bank, NJ Securities Law Attorney with 33 years experience
Securities and Business
Columbia Law School
John R. Menz has represented corporate and individual clients in sophisticated legal matters concerning contract disputes, securities regulation, real property, product liability and employment law. He has litigated and arbitrated cases in a variety of forums, including federal courts, state courts, the American Arbitration Association, and the New York Stock Exchange. Mr. Menz offers corporate and individual clients a fluent understanding of the terms, conditions and strategies involved in complex financial transactions gained from his long legal experience and skills obtained as a former tax accountant at Price Waterhouse.
Mr. Menz has successfully defended claims against financial institutions in courts and...
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Securities, Business and Insurance Defense
Cornell University
Michael S. Komar has almost twenty-five years of experience handling complex insurance coverage and commercial litigation matters. Mr. Komar's insurance coverage litigation experience has included handling dozens actions involving pollution, asbestos, silica, lead paint, toxic tort, construction defect, general liability and California Prop. 64 and 65 claims, in addition to representing insurance clients in prepackaged bankruptcy, reinsurance, broker liability and first-party property disputes. Many of the coverage actions defended by Mr. Komar involved claims not only for declaratory judgment and breach of contract, but also bad faith and unfair claim handling practices.
Mr. Komar has developed an intimate working knowledge of...
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Securities, Criminal Defense, Divorce and Domestic Violence
University of Dayton School of Law
Securities Attorneys in Nearby CitiesSecurities Attorneys in Nearby Counties The OneCLE Lawyer Directory contains lawyers who have claimed their profiles and are actively seeking clients. Find more Little York, New Jersey Securities Lawyers in the Justia Legal Services and Lawyers Directory which includes profiles of more than one million lawyers licensed to practice in the United States, in addition to profiles of legal aid, pro bono and legal service organizations.
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