Wheelock Securities Lawyers
Free Consultation
Securities, Business and IP
Sam Smith has represented startups and small businesses with all aspects of corporate transactions and trademark issues including registration, prosecution, enforcement and licensing. He has also represented large financial institutions and investment banks in all aspects of corporate transactions including advising on entity selection and formation, capital structure, securities regulations and commercial contract drafting. He advises closely held businesses in business entity selection and formation, business financing and operations, purchasing/selling a business, and drafting and negotiating commercial contracts. He also advises individuals and entrepreneurs with the design and implementation of estate planning and succession planning strategies
Securities, Antitrust and IP
John A. Price has over four decades of legal experience, including first chair trial experience on a variety of complex business and commercial litigation matters with special emphasis on the areas of antitrust and unfair/deceptive trade practices, business torts, securities fraud, intellectual property, minority shareholder, regulatory, products liability, environmental, and a wide spectrum of business disputes. He is ranked AV Preeminent with 5 out of 5 for legal ability and ethics by Martindale-Hubbell in a peer-reviewed rating. He is certified in civil litigation by the Texas Board of Legal Specialization, licensed to practice law in Kansas, Texas and...
Free Consultation
Securities, Business, Stockbroker Fraud and Tax
Dustin advises clients about their business-related matters at the federal, state, and international levels with experience in corporate, tax, securities, and related issues. Dustin has experience providing tax and business services, including the reformation and restructuring of large multi-national businesses to achieve strategic tax and business objectives. Dustin works with business owners, corporate officers, and other advisors in structuring acquisitions, dispositions, reorganizations, and corporate financing arrangements to provide efficient solutions to tax and business issues across a variety of industries.
In addition to his business and tax planning experience, Dustin has experience resolving taxpayer issues during IRS examination or collection status,...
Free Consultation
Securities and Stockbroker Fraud
Free Consultation
Securities and Business
I am the founding partner of Kesse PLLC, a corporate law firm. Prior to founding Kesse PLLC, I worked at the biggest law firms in the country.
My practice focuses on securities, capital markets, SEC reporting, emerging companies and startups, and general corporate law. I regularly advise clients on public and private securities offerings and financings, including U.S.-Canadian cross-border offerings and other foreign private issuer offerings. I assist clients with IPOs, Regulation A+ offerings, direct listings, follow-on/secondary offerings, private placements, crowdfunding, private company financings, pre-IPO counseling, SPAC formations, IPOs and business combinations (deSPACs), tender offers, emerging company and startup financings,...
Free Consultation
Securities and Business
I possess a unique set of skills in Excel, Workiva, and similar applications that sets me apart from other lawyers. I leverage this distinctive combination to foster enhanced collaboration between Legal Departments and their corporate counterparts such as Accounting and HR. My work in areas like Proxy Statement preparation and stock plan administration exemplifies the value I bring to my clients. Additionally, I assist Legal Departments in working with IT on projects related to software adoption, development, and implementation.
Before embarking on my legal career, I worked in public accounting as an auditor during a time when the audit industry was...
Securities, Business and Employment
Ms. Shannon A. Lang is a dedicated attorney with extensive experience in complex business and commercial litigation. Ms. Lang attended San Diego State University and graduated with a Bachelor of Arts in both Sociology and Biology. Before attending law school, Ms. Lang earned Master’s Degree in Forensic Science from Marshall University. In 2007, Ms. Lang graduated from the University of Virginia School of Law with her Juris Doctor. Upon graduating law school, Ms. Lang worked as a law clerk for Judge Nancy Friedman Atlas in the Southern District of Texas before joining Covington & Burling. Ms. Lang honed...
Securities, Energy, Maritime and Personal Injury
I represent plaintiffs who have been hurt. I am board certified in Personal Injury Trial Law and handle catastrophic personal injury cases, but I also practice construction, securities, and complex commercial litigation, for companies and individuals. I am a native Houstonian and attended St. Thomas High School where I currently serve on the board. I went to Harvard and graduated with high honors, magna cum laude, in 2004. At Harvard, I served as Historian of the Harvard Political Union, the College's debating society, and as Secretary of Harvard CHANCE, a group dedicated to mentoring and tutoring students from Cambridge...
Securities, Bankruptcy, Business and Consumer
David Siegel has helped thousands of people obtain redress through our court system. He has over 30 years of experience advising businesses and individuals in commercial litigation, fiduciary duty and partnership litigation, liability suits, mass tort actions, consumer class actions, securities litigation, and bankruptcy litigation.
David’s cross-border work includes arguing on behalf of clients located in the Philippines and Latin America, among other regions. His successes include successfully representing thousands of agricultural workers in toxic pesticide litigation; successfully representing investors in arbitration claims against their investment advisers; successfully representing wrongful death claimants in a suit against a private prison company for...
David’s cross-border work includes arguing on behalf of clients located in the Philippines and Latin America, among other regions. His successes include successfully representing thousands of agricultural workers in toxic pesticide litigation; successfully representing investors in arbitration claims against their investment advisers; successfully representing wrongful death claimants in a suit against a private prison company for...
Securities and Business
Courtney Scobie’s practice focuses on complex commercial litigation in state and federal courts, arbitration, and federal government investigations. Her experience includes a fraud and theft case on behalf of a large technology company, a breach of fiduciary duty and legal malpractice case on behalf of a real estate investment trust, copyright infringement and trade secret misappropriation cases against a leading enterprise software company, an SEC investigation and a securities class action involving alleged accounting improprieties, several CFTC investigations involving the crude oil and natural gas liquids markets, contract and insurance disputes in the energy and petrochemical industries, product liability and...
Free Consultation
Securities and Stockbroker Fraud
Free Consultation
Securities, Business and Stockbroker Fraud
Mr. Crawford has more than 30 years of experience in handling complex commercial litigation, including securities fraud, receiverships, oil and gas, employment, insurance and general business disputes.
Representative Matters
Mr. Crawford has successfully represented clients in a wide range of complex commercial litigation, including cases involving:
• Securities Fraud
• Oil and Gas Fraud
• Software licensing issues
• Employment disputes, including proprietary information, agreements and covenants not to compete
• Stock option agreements
• Copyright issues
• Insurance coverage disputes
• Shareholder disputes
• Partnership...
Representative Matters
Mr. Crawford has successfully represented clients in a wide range of complex commercial litigation, including cases involving:
• Securities Fraud
• Oil and Gas Fraud
• Software licensing issues
• Employment disputes, including proprietary information, agreements and covenants not to compete
• Stock option agreements
• Copyright issues
• Insurance coverage disputes
• Shareholder disputes
• Partnership...
Securities and Stockbroker Fraud
Free Consultation
Securities, Business and IP
Steve Sapp has extensive experience in the representation of clients in both public and private offerings of debt and equity securities, corporate and securities reporting and compliance matters, Board of Directors representation, and mergers and acquisitions. Additionally, he represents many of his public and private corporate clients, both nationally and internationally, in the prosecution and protection of substantial technology and intellectual property portfolios, related administrative proceedings before the United States Patent and Trademark Office, and disputes concerning trademark rights, domain names, and copyrights on the Internet.
Due to the breadth of his experience and aptitude for client service, he also...
Free Consultation
Securities and Stockbroker Fraud
Securities, Business, Energy and Estate Planning
Will Stafford is Of Counsel in Crain Caton’s Corporate, Business Transactions and Tax Group. With over a decade of legal experience, Will has developed a broad corporate practice, with an emphasis on securities offerings, business transactions, and general corporate governance. He has extensive experience representing individuals, public and private companies, financial institutions and local governments in a wide variety of matters including capital markets transactions, mergers and acquisitions, early-stage and venture capital investments, technology transactions, commercial contracts, securities regulation and compliance, corporate structuring and formation, and general corporate matters.
Will has represented corporations in the issuance of debt, equity and convertible...
Will has represented corporations in the issuance of debt, equity and convertible...
Securities, Antitrust, Business and Consumer
Mr. Showman has handled numerous complex commercial matters and securities class actions (for both plaintiffs and defendants). He has represented both claimants and respondents in FINRA securities arbitrations. He has also represented clients in FINRA investigations and has conducted internal corporate investigations. He has lectured on securities litigation at NYU and Fordham University. Mr. Showman is also an arbitrator for FINRA customer and employee arbitrations.
Securities, Business, Employment and Energy
With nearly 30 years of complex commercial litigation experience, Robert R. Burford has distinguished himself as an aggressive and successful attorney for his clients. Mr. Burford has handled business disputes of nearly every variety for both plaintiffs and defendants. Mr. Burford has skillfully handled nearly every type of high-stakes business disputes including litigation involving fiduciary duties, securities fraud, mergers and acquisitions, Director’s and Officers’ liability, legal malpractice, oil and gas matters, partnership disputes, intellectual property disputes, theft of trade secrets, healthcare related matters and complex contractual disputes. Mr. Burford graduated from the University of Houston in 1981...
Securities, Antitrust, Business and Communications
Securities, Business and Employment
I am Board Certified in Labor and Employment Law by the Texas Board of Legal Specialization. My employment practice is limited to representation of management and high level executives. I am listed as a Best Lawyer in America 2009 in employment law (copyright 2008 by Woodward/White Inc. of Aiken, SC). I was selected as a Super Lawyer for 2004; 2007-09 by Law and Politics Magazine. I also handle commercial litigation in the areas of banking, energy and securities.
Securities
Mark R. Basile started his career at Shea & Gould in New York City and throughout the course of his career has, and continues to represent small publicly traded companies in securities and corporate finance litigation in both state and federal courts around the country.
Mr. Basile won a landmark decision (2021) for small public companies in the New York Court of Appeals that agreed that certain corporate funding instruments are subject to NY's criminal usury laws.
Mr. Basile is also a Professor of Law & Entrepreneurship at The Jacob D. Fuchsberg Law Center in New York teaching a course that he...
Free Consultation
Securities, Arbitration & Mediation, Real Estate and Trademarks
Experienced business and commercial litigation attorney who primarily focuses on owner-operated small businesses enterprises. I and my full service law firm serve as outside general counsel for business owners, managers and entrepreneurs.
I am an experienced trial attorney located in Dallas. I practice in Federal and State courts throughout Texas and in arbitration proceedings. My practice involves enforcing and defending the rights of finance companies and banks, manufacturers, restaurants, warehouses, construction contractors, artisan/consultants, and logistics businesses.
I started Roquemore Skierski PLLC to be a full-service firm whose business transactions attorneys help start-up, expansion, and dissolution of business operations. We help...
Securities, Bankruptcy, Business and Construction
RUDY BEUTTENMULLER, born St. Louis, Missouri, December 20, 1953; admitted to bar, 1980, Texas. Also admitted to U.S. District Court, Northern District of Texas; U.S. Bankruptcy Court, Northern District of Texas; U.S. District Court, Eastern District of Texas; U.S. Bankruptcy Court, Eastern District of Texas; U.S. District Court, Western District of Texas; U.S. Tax Court. Education: Princeton University (B.A., cum laude, 1976); Duke University (J.D., with distinction, 1980). Staff Member, 1978-1979 and Articles Editor, 1979-1980, Duke Law Journal. Author: Comment, "The Goal of The New Premerger Notification Requirements: Preliminary Relief Against Anticompetitive Mergers," Duke Law Journal 249, 1979....
Securities and Business
Securities, Arbitration & Mediation, Business and Employment
Free Consultation
Securities, Business, Employment and Real Estate
Securities, Business and Real Estate
Securities, Arbitration & Mediation, Business and Collections
Securities, Business, IP and Real Estate
I am Michael A. Weaver, a corporate transactions, estate planning, employment, and technology attorney with a Martindale Hubble 5.0 AV Rating, and I have been practicing law for the past 30 years. In 2020, I expanded my practice areas to include Wills, Trusts & Estate Planning about five years ago and currently serve clients at Saunders, Walsh & Beard in McKinney, Texas.
When it comes to estate planning, I often recommend a Living Trust over a Will for several significant reasons, depending on the estate's size and complexity. My legal career includes extensive experience as an in-house general counsel and as...
Securities and Tax
Recipient: Awarded Best Article, 1986-1987 Edition of Texas Tech Law Review. Publications: A Detailed Analysis of United States v. O'Hagan: Onward Through the Evolution of the Federal Securities Laws, 59 La. L. Rev. 1 (1998); State Takeover Laws, Insider Trading, and the Interplay Between the Two: A New Perspective, 91 W.VA. L. Rev. 1001 (1989) (co-authored); Why The Approach of Heckman v. Ahmanson Will Not Become the Prevailing Greenmail Viewpoint: Race to the Bottom Continues, 18 TX. Tech L. Rev. 1083 (1987); Effective Supervision, Investor Confidence and Capital Formation, Practicing Law Institute, Corporate Law and Practice, Securities Arbitration 2006, Vol....
Securities, Antitrust, Business and Consumer
Securities and Municipal
Structured Capital LLC (SC LLC) is a private investment banking firm dedicated exclusively to the private placement market. The Company has completed over 450 senior, subordinated and private equity financing, totaling more than $14 billion. SC LLC offers its clients experience, technology, resources and expertise in accessing the private placement capital markets.
SC LLC is a highly experienced independent investment bank, who principal owner and managing director was licensed with the following regulatory agencies for over 30 years:
SC LLC is a highly experienced independent investment bank, who principal owner and managing director was licensed with the following regulatory agencies for over 30 years:
Securities, Antitrust, Criminal Defense and Environmental
Securities, Divorce and Family
Securities, Appeals, Business and Insurance Claims
Securities, Bankruptcy, Business and Construction
Trial lawyer practicing in business and commercial litigation with a comprehensive background representing clients in a diverse range of practice areas and industries, including banking and finance, contracts, business torts, real estate, IP, bankruptcy, M&A, securities, construction, employment, tax-exempt organizations, antitrust and corporate governance.
Securities, Appeals, Business and Employment
Securities and Business
Securities, Bankruptcy, Business and Elder
Securities, Business, Estate Planning and Real Estate
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 Wheelock 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.
Researching Attorney Discipline
Find out whether an attorney has ever been disciplined.