Craryville Securities Lawyers

Julie Debra Globus
Claimed Lawyer Profile
Julie Debra Globus
New City, NY Securities Law Lawyer with 25 years of experience
(845) 634-2250 20 Squadron Boulevard
New City, NY 10956
Securities, Business and Education
Rutgers
Julie Globus graduated with honors from Skidmore College with an interdepartmental BA in Government and Philosophy in 1991. She then attended the One-Year Program with a grant from The Hebrew University of Mt. Scopus in Israel. During that year Julie worked for a history professor on translations of Aramaic texts from Elephantine Island. Following that year, in 1992, Julie was invited to complete her Masters with a scholarship from Hebrew University where she also worked as a research editor for the Maurice Falk Institute of Economic Research in Israel. In 1995 Julie earned her MA with distinction in Political Theory,...
Shahriar Kashanian
Claimed Lawyer ProfileResponsive Law
Shahriar Kashanian
Manhasset, NY Securities Law Lawyer with 39 years of experience
(516) 404-9961 69 Stonehenge Road
Manhasset, NY 11030-2522
Securities, Arbitration & Mediation, Insurance Claims and Personal Injury
Maurice A. Deane School of Law at Hofstra University
Leslie Eugene Fourton
Claimed Lawyer Profile
Leslie Eugene Fourton
New York, NY Securities Law Lawyer with 29 years of experience
(917) 922-2891 360 E 72nd St Apt B1509
New York, NY 10021
Securities, Appeals, Arbitration & Mediation and Employment
Vermont Law School
Leslie Fourton is a highly experienced attorney with over 15 years of expertise in various legal areas, making him a valuable asset for a financial company. His extensive background includes corporate and regulatory law, commercial litigation, employment and labor law, executive compensation and benefits, and antitrust expertise. He has worked with prominent law firms such as Cravath Swaine & Moore LLP, Sullivan & Cromwell LLP, and Mayer Brown LLP, and has served as a consultant for major financial institutions like Citigroup, Discover Financial Services, Meta Platforms, Inc., and Wells Fargo.Fourton's experience in financial services is particularly notable. He has provided...
Amy D'Agostino
Claimed Lawyer Profile
Amy D'Agostino
New York, New York Securities Law Lawyer with 21 years of experience
(212) 408-1023 30 Rockefeller Plaza
New York, NEW YORK 10112
Securities, Business and IP
Pace University School of Law
Matthew Browndorf
Claimed Lawyer ProfileSocial Media
Matthew Browndorf
New York, NY Securities Law Attorney with 21 years of experience
(888) 690-5557 114 West 47th Street
Suite 1810
New York, NY 10036
Securities, Business and White Collar Crime
Thomas McGirr Sanford
Claimed Lawyer ProfileSocial Media
Thomas McGirr Sanford
New York, NY Securities Law Attorney with 31 years of experience
(212) 804-5767 43 W. 43rd St.
Suite 7
New York, NY 10036-7424
Securities, Business and Insurance Defense
New York Law School
Corporate transactional and Directors and Officers Liability attorney. I work with a variety of mainly privately held businesses from inception through corporate life to sale or other disposition. I help businesses and their principals in formation issues, shareholder and LLC operating agreements, employment agreements, private placements and mergers and acquisitions including stock and asset purchase agreements, letters of intent, term sheets and '33 Act and '34 Act compliance. I also act as outside general counsel reviewing and negotiating license agreements, service agreements, outsourcing agreements and other contractual matters. I also represent insurance carriers as monitoring counsel in connection with complex securities class...
Kamal Jafarnia
Claimed Lawyer Profile
Kamal Jafarnia
New York, NY Securities Law Lawyer with 32 years of experience
(713) 927-8082 335 Madison Avenue
5th Floor, Suite B
New York, NY 10017
Securities, Business and Real Estate
Georgetown University Law Center and Temple University Beasley School of Law
Until Spring 2021 Kamal Jafarnia currently served as General Counsel and Chief Compliance Officer at Artivest Holdings, Inc., which position he has held since October 2018, and as Chief Compliance Officer to its Investment Management business at the Altegris Advisers. Prior to Artivest, Mr. Jafarnia served as Managing Director for Legal and Business Development at Provasi Capital Partners LP. Prior to that, from October 2014 to December 2017, he served as Senior Vice President of W.P. Carey Inc. (NYSE: WPC), as well as Senior Vice President and Chief Compliance Officer of Carey Credit Advisors, Inc. and as Chief Compliance...
Paul Cuccurullo
Claimed Lawyer Profile
Paul Cuccurullo
New York, New York Securities Law Lawyer
(212) 728-5972 Times Square Tower
New York, NEW YORK 10036
Securities
Brooklyn Law School
Mauro Wolfe
Claimed Lawyer ProfileSocial Media
Mauro Wolfe
New York, NY Securities Law Lawyer with 29 years of experience
(212) 692-1017 1540 Broadway
New York, NY 10036
Securities, Criminal Defense and International
Mauro M. Wolfe practices in the area of litigation, with a focus on white-collar criminal defense; securities enforcement, including Foreign Corrupt Practices Act investigations; complex civil and administrative litigation; internal corporate investigations; and data security and privacy matters. Mr. Wolfe has represented U.S. and foreign corporations, corporate executives, government officials and others in a broad range of white-collar criminal cases involving securities and commodities, bank and procurement fraud, customs and export violations and bribery.
Saboor H. AbdulJaami
Claimed Lawyer Profile
Saboor H. AbdulJaami
New York, NY Securities Law Lawyer with 21 years of experience
(646) 435-0668 410 Park Avenue
Suite 1530
New York, NY 10022
Securities, Business and International
New York University School of Law
Meng Ru
Claimed Lawyer Profile
Meng Ru
New York, NY Securities Law Attorney
(212) 872-1036 590 Madison Ave
New York, NY 10022
Securities and Business
University of Virginia School of Law and Fudan University Law School
Sean J McGowan
Claimed Lawyer Profile
Sean J McGowan
Hauppauge, NY Securities Law Attorney
(631) 972-0042 190 Motor Parkway, Suite 200
Hauppauge, NY 11788
Securities, Business and Cannabis Law
Sean J. McGowan is a partner in Kaufman McGowan PLLC, Long Island’s Corporate & Securities Law Firm™ and Corporate & Securities Counsel to the Cannabis Industry™. He is a leading corporate cannabis lawyer in New York and the USA and represents emerging growth, middle market and public companies and investment firms in their corporate, securities, financing, borrowing, merger & acquisition and other legal matters. Mr. McGowan is: - President of the Columbian Lawyers' Association of Suffolk County. - Secretary of the Confederation of Columbian Lawyers of New York State. - Member of the New York State Bar Association and its Cannabis Law Section. -...
Leonard Jeffrey Breslow
Claimed Lawyer Profile
Leonard Jeffrey Breslow
Jericho, NY Securities Law Lawyer with 32 years of experience
(516) 822-6505 100 Jericho Quadrangle
Suite 230
Jericho, NY 11753
Securities and Business
New York University School of Law
Neil Stanley Belloff
Claimed Lawyer Profile
Neil Stanley Belloff
Mahopac, NY Securities Law Attorney with 40 years of experience
(845) 208-3672 11 Radnor Lane
Mahopac, NY 10541
Securities and Business
Quinnipiac University School of Law and Georgetown University Law Center
Corporate, Securities and Business Law Board Advisory Services Compliance/Governance/Best Practices Regulatory Representation Internal Investigations Over 20 years experience in business, legal and management positions, most recently as Executive Vice President and US Corporate and Securities Counsel of a Fortune 50 company, with significant management, supervisory and oversight responsibilities in the areas of risk assessment, strategic planning, corporate governance, legal and regulatory compliance, mergers and acquisitions, privacy issues, and all aspects of corporate, securities, intellectual property and employment law, as well as primary liaison with Management Board and key members of senior management.
Zvi N. Raskin
Claimed Lawyer Profile
Zvi N. Raskin
Spring Valley, NY Securities Law Attorney with 37 years of experience
(845) 762-0006 1 Hillcrest Center Drive
Suite 232
Spring Valley, NY 10977
Securities, Business, Employment and IP
Yale Law School
Eric Berry
Claimed Lawyer Profile
Eric Berry
New York, NY Securities Law Lawyer with 40 years of experience
(212) 355-0777 745 Fifth Avenue
5th Floor
New York, NY 10151
Securities, Appeals, Legal Malpractice and Stockbroker Fraud
David Sobol
Claimed Lawyer Profile
David Sobol
New York, NY Securities Law Lawyer
499 Park Avenue
New York, NY
Securities and Business
New York University School of Law
Lawrence Bauer
Claimed Lawyer Profile
Lawrence Bauer
New York, New York Securities Law Lawyer with 43 years of experience
(212) 839-5593 787 Seventh Avenue
New York, NEW YORK 10019
Securities, Business and Health Care
New York University School of Law
James DiPasquale
Claimed Lawyer Profile
James DiPasquale
New York, NY Securities Law Lawyer with 19 years of experience
(646) 383-4607 555 5th Avenue
14th Floor
New York, NY 10017
Securities, Business, Cannabis Law and Stockbroker Fraud
DiPasquale & Summers is a preeminent full service law firm specializing in business, hospitality and cannabis law.

Corporate & Business Services
• Corporate Formation
• Partnership, Shareholder & Operating Agreements
• Structuring of Capital Investment
• Contract Negotiation & Drafting
• Licensing Deals
• State Application Preparation or Review

Real Estate
• Commercial Leasing
• Landlord/Tenant Issues
• Waste Management

Litigation
• State Agency Appeals
• Partnership and Business Disputes
• Breach of Contract
• Product Liability
• Insurance Coverage Disputes
• Intellectual Property Infringement

Intellectual Property
• Copyright & Trademark
• Enforcement, Infringement & Disputes
• Licensing Agreements
• Strategic Branding
• Trade Secrets

Regulatory Compliance
• Compliance with State Licensing Regulations
• FDA, FDCA, & Industrial Hemp Farm Bill Compliance
• Product Labeling and...
Justin Edward Silberberg
Claimed Lawyer Profile
Justin Edward Silberberg
New York, NY Securities Law Attorney with 18 years of experience
(212) 459-7225 The New York Times Building
620 Eighth Avenue
New York, NY 10018-1405
Securities
Brooklyn Law School
Todd Jordan Peterson
Claimed Lawyer Profile
Todd Jordan Peterson
New York, NY Securities Law Lawyer with 34 years of experience
(212) 912-2848 750 Lexington Ave
New York, NY 10022
Securities, Business and International
Columbia University School of Law and Columbia Law School
Marilyn Feuer
Claimed Lawyer Profile
Marilyn Feuer
New York, NY Securities Law Attorney with 40 years of experience
(646) 650-0469 250 Park Avenue
Suite 700
New York, NY 10177
Securities and Business
Dmitriy Molchanov
Claimed Lawyer Profile
Dmitriy Molchanov
New York, NY Securities Law Attorney with 7 years of experience
(212) 450-3940 450 Lexington Ave
New York, NY 10017
Securities and Business
University of Pennsylvania Law School
Abhishek Mathur
Claimed Lawyer Profile
Abhishek Mathur
New York, NY Securities Law Lawyer with 20 years of experience
(212) 850-2800 450 Lexington Ave
New York, NY 10017
Securities
New York University School of Law
Ms. Mor Wetzler
Claimed Lawyer Profile
Ms. Mor Wetzler
New York, NY Securities Law Attorney
(212) 318-6281 75 East 55th Street
New York, NY 10022
Securities and White Collar Crime
Cornell University
Kimberly J. Engel
Claimed Lawyer Profile
Kimberly J. Engel
New York, NY Securities Law Lawyer
(212) 457-5507 1675 Broadway
New York, NY 10019
Securities and Business
Fordham University School of Law
Peter Campitiello
Claimed Lawyer Profile
Peter Campitiello
New York, NY Securities Law Attorney
1350 Avenue of the Americas
26th Floor
New York, NY 10019
Securities
Adam Gana
Claimed Lawyer ProfileBlawg SearchSocial Media
Adam Gana
New York, NY Securities Law Lawyer with 19 years of experience
(800) 810-4262 295 Madison Ave #705
New York, NY 10017
Free ConsultationSecurities, Appeals, Business and Insurance Claims
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...
Jenice Malecki
Claimed Lawyer ProfileBlawg SearchSocial Media
Jenice Malecki
New York, NY Securities Law Attorney with 33 years of experience
(212) 943-1233 11 Broadway
#715
New York, NY 10004
Free ConsultationSecurities, Business, Employment 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...
Ross B. Intelisano
Claimed Lawyer ProfileQ&ABlawg SearchSocial Media
Ross B. Intelisano
New York, NY Securities Law Attorney with 30 years of experience
(212) 696-1999 350 Fifth Avenue
Suite 4640
New York, NY 10118
Free ConsultationSecurities, Arbitration & Mediation, Business and Stockbroker Fraud
Brooklyn Law School
Ross B. Intelisano is a founding partner of Lax, Neville & Intelisano, 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...
Robert L. Herskovits
Claimed Lawyer ProfileBlawg SearchSocial MediaResponsive Law
Robert L. Herskovits
New York, NY Securities Law Lawyer
(212) 897-5410 305 Broadway 7th Floor
New York, NY 10007
Free ConsultationSecurities, Arbitration & Mediation, Business 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
Claimed Lawyer ProfileBlawg SearchSocial MediaResponsive Law
Mark J. Astarita
New York, NY Securities Law Attorney with 43 years of experience
(212) 509-6544 11 Broadway
Suite 615
New York, NY 10004
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 24 states, have written legal columns for a number of industry publications, been a...
Tony  Harwood
Claimed Lawyer ProfileSocial Media
Tony Harwood
New York, NY Securities Law Lawyer with 37 years of experience
(212) 867-6820 260 Madison Ave
16th Floor
New York, NY 10016
Free ConsultationSecurities, Arbitration & Mediation, Business and Stockbroker Fraud
Fordham University School of Law
I am a Trial Lawyer with over 25 years of experience in Business lawsuits, Arbitration and White-Collar Criminal investigations. I provide high quality advocacy and advice to companies, partnerships, their owners, managers, directors and employees in business disputes. My practice encompasses matters involving Securities, Stockbroker Fraud, Class Action lawsuits, Real Estate, Technology and Intellectual Property, privately held Businesses, Employment law,Professional Liability and Legal eEthics. I have an AV Preeminent rating from Martindale-Hubbell, which is the highest rating the organization gives, and am a longstanding leader in legal ethics, demonstrating that my peers rank me at the highest level of professional excellence. {This...
Barry R. Lax
Claimed Lawyer ProfileBlawg SearchSocial Media
Barry R. Lax
New York, NY Securities Law Lawyer with 31 years of experience
(212) 696-1999 350 Fifth Avenue
Suite 4640
New York, NY 10118
Free ConsultationSecurities, Business and Employment
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....
Thomas Perry Setser
Claimed Lawyer ProfileSocial Media
Thomas Perry Setser
Rochester, NY Securities Law Attorney with 26 years of experience
(585) 492-4700 400 Linden Oaks
Suite 110
Rochester, NY 14625
Securities and Military
Mississippi College School of Law
Thomas P. Setser, a Senior Associate in Tully Rinckey PLLC’s Rochester office, possesses extensive courtroom experience in all matters of litigation, having served the last 19 years as a military defense counsel, civilian counsel and Assistant District Attorney.

Prior to joining Tully Rinckey, Thomas began his legal career as U. S. Navy Judge Advocate, where he served on active duty as a military defense counsel, legal assistance attorney, discipline officer and brig officer. Upon leaving active duty, he opened his own legal practice as a solo practitioner and continued his military service as a Navy Reservist. After a one-year...
Marc Fitapelli
Claimed Lawyer ProfileBlawg SearchSocial Media
Marc Fitapelli
New York, NY Securities Law Lawyer with 18 years of experience
(877) 238-4175 28 Liberty St
30th Floor
New York, NY 10005
Free ConsultationSecurities, Arbitration & Mediation, Real Estate and Stockbroker Fraud
Maurice A. Deane School of Law at Hofstra University
Robert W. Anderson
Claimed Lawyer ProfileSocial Media
Robert W. Anderson
New York, NY Securities Law Attorney with 38 years of experience
(212) 742-3390 200 Liberty St
27th floor
New York, NY 10281
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.
Asher Hawkins
Claimed Lawyer ProfileSocial Media
Asher Hawkins
New York, NY Securities Law Attorney with 10 years of experience
(800) 497-8076 305 Broadway
Suite 700
New York, NY 10007
Securities, Antitrust and Consumer
New York Law School
Asher Hawkins was admitted to practice in New York in January 2015. Prior to joining Frank LLP, he served a postgraduate judicial clerkship with the State of New York Supreme Court, Appellate Division, Third Judicial Department.
Neil Fridman
Claimed Lawyer ProfileSocial MediaResponsive Law
Neil Fridman
New York, NY Securities Law Lawyer with 15 years of experience
(212) 262-9823 154 Grand Street
3rd Floor
New York, NY 10013
Free ConsultationSecurities, Business, Communications and Real Estate
St. John's University School of Law
I enjoy advising companies and identifying solutions to complex business and legal problems. My intimate knowledge of corporate/real estate law, investment banking, and private equity has positioned me to serve as outside general counsel to dozens of startups, middle-market, and enterprise clients over the last decade. I've also provided guidance to several tech companies in their sale to large cap businesses, and have closed some of the largest commercial real estate transactions.

Prior to law practice, I worked in finance for several years as both an investment banker and consultant with a focus on M&A. I enjoy working with founders and...
Brian J. Neville
Claimed Lawyer ProfileBlawg SearchSocial Media
Brian J. Neville
New York, NY Securities Law Lawyer with 31 years of experience
(212) 696-1999 350 Fifth Avenue
Suite 4640
New York, NY 10118
Free ConsultationSecurities, Business and Employment
New York University School of Law
Brian J. Neville, a founding partner of Lax & Neville LLP, has significant experience in broker/dealer, securities, regulatory defense, employment and commercial litigation in arbitration forums and state and federal courts. He has arbitrated cases in at least 18 states and has been lead counsel on well over 500 matters.
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 Craryville 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.

Lawyers - Claim and update full profiles for free!