Harlem Stockbroker & Investment Fraud Lawyers
Stockbroker Fraud, Animal, Appeals and Arbitration & Mediation
Stockbroker Fraud, Appeals, Criminal Defense and DUI & DWI
Stockbroker Fraud, Arbitration & Mediation, Business and Securities
James P. Galvin is the founder of Galvin Legal. He is a member of the Florida Bar and the State Bar of Georgia. He graduated from Georgia State University in Atlanta, Georgia with a Bachelor of Business Administration degree in Finance. He obtained his Juris Doctor from the University of Miami School of Law in Coral Gables, Florida. At the University of Miami, he completed the litigation skills program, which included serving as a Certified Legal Intern with the Miami-Dade State Attorney’s Office. Mr. Galvin actively participated in the Investor Rights Clinic as a Certified Legal Intern, Returning Fellow,...
Stockbroker Fraud, Arbitration & Mediation and Securities
Richard S. Frankowski is the owner of The Frankowski Firm, LLC based in Birmingham, Alabama and Incline Village, Nevada. Mr. Frankowski has represented hundreds of investors around the country in FINRA arbitrations and in court. His practice focuses on stock broker fraud, consumer class actions, and direct and derivative shareholder litigation. He is an AV Preeminent-rated attorney by Martindale Hubbell and is a member of the Alabama and Florida Bars, as well as a member of the American Bar Association, the American Association for Justice, and National Trial Lawyers. Mr. Frankowski co-authored The Practitioner's Guide to...
Stockbroker Fraud, Business, Civil Rights and Securities
Stockbroker Fraud, Securities and White Collar Crime
Walter Jospin’s practice focuses on SEC and other securities regulatory enforcement matters, corporate governance, internal investigations, and SEC Whistleblower Claims.
Mr. Jospin is the former Director of the Atlanta Regional Office of the U.S. Securities and Exchange Commission, where he served from February 2015 until January 2018. As Regional Director, he led over 110 lawyers, accountants, and compliance examiners in the office’s Enforcement and Examination programs, which cover Georgia, Tennessee, Alabama, North Carolina, and South Carolina. During his three-year tenure, Mr. Jospin supervised many enforcement actions relating to financial and accounting fraud, disclosure failures, audit failures, offering frauds, Ponzi schemes, violations...
Mr. Jospin is the former Director of the Atlanta Regional Office of the U.S. Securities and Exchange Commission, where he served from February 2015 until January 2018. As Regional Director, he led over 110 lawyers, accountants, and compliance examiners in the office’s Enforcement and Examination programs, which cover Georgia, Tennessee, Alabama, North Carolina, and South Carolina. During his three-year tenure, Mr. Jospin supervised many enforcement actions relating to financial and accounting fraud, disclosure failures, audit failures, offering frauds, Ponzi schemes, violations...
Stockbroker Fraud, Business, Employment and Securities
Stockbroker Fraud, Arbitration & Mediation and Securities
Mr. Gort specializes in providing regulatory and compliance-related services to registered investment advisers (“RIAs”). At Parker MacIntyre, Mr. Gort manages the day to day task of keeping track of regulatory deadlines for all of the firm’s RIA clients and oversees the work of other Parker MacIntyre associates. In this role, Mr. Gort routinely drafts Investment Advisory Agreements for RIAs, disclosure documents (including Form ADV Parts 1 and 2, Form U4 and point of sale disclosures), compliance manual procedures and other ancillary documents for RIAs.
Mr. Gort has accumulated experience since 2013 in creating legal solutions for problems registered investment advisers...
Mr. Gort has accumulated experience since 2013 in creating legal solutions for problems registered investment advisers...
Stockbroker Fraud and Securities
Mrs. Klusmeyer specializes in providing legal advice and compliance support to registered investment adviser clients. During her time at Parker MacIntyre since 2016 she has provided compliance guidance to investment adviser and broker-dealer clients, assisted with various regulatory filings, drafted compliance policies and procedures, drafted agreements, helped prepare responses to SEC and state examinations, and represented clients in FINRA arbitration.
Mrs. Klusmeyer maintains familiarity and competence regarding recent developments in securities rules, the Financial Industry Regulatory Authority, and regulations from federal and state regulators, including the Securities and Exchange Commission and the Department of Labor. She has helped clients implement...
Mrs. Klusmeyer maintains familiarity and competence regarding recent developments in securities rules, the Financial Industry Regulatory Authority, and regulations from federal and state regulators, including the Securities and Exchange Commission and the Department of Labor. She has helped clients implement...
Stockbroker Fraud, Business, Civil Rights and Securities
Stockbroker Fraud, Arbitration & Mediation, Business and Securities
I joined Parker MacIntyre as an associate attorney in 2025. In my role, I represent investment advisers and broker-dealers in compliance, regulatory matters, investigations, mergers and acquisitions, and general business. I also provide guidance to issuers in private placements and securities offerings, including hedge fund formation, regulation, and compliance.
I graduated from the University of Georgia School of Law in 2022. Since then, I have worked exclusively in private practice, representing clients in tax controversy matters, covering every stage from IRS examination to final resolution in Tax Court. Additionally, I have drafted and reviewed a wide range of contracts related to...
Stockbroker Fraud, Business, Employment and Insurance Claims
Stockbroker Fraud, Business, Employment and Securities
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Stockbroker Fraud, Arbitration & Mediation, Elder and Securities
J. Michael Bishop is a partner in the Atlanta firm of Smiley Bishop & Porter LLP.
For over 25 years, Mike has practiced extensively in the areas of securities arbitration and litigation, representing investors with securities claims of all types and sizes. Mike and his firm have obtained numerous seven-figure arbitration awards which have included punitive damages, attorneys’ fees and costs. Many of Mr. Bishop’s clients are elderly investors who have been victims of investment and financial fraud.
Mike has successfully represented clients with claims against virtually every major Wall Street firm, including: Bank of America/Merrill Lynch, UBS/PaineWebber, Morgan Stanley/Dean Witter,...
Stockbroker Fraud, Bankruptcy, Estate Planning and Real Estate
Stockbroker Fraud, Civil Rights, Elder and Employment
Stockbroker Fraud, Criminal Defense, DUI & DWI and IP
Stockbroker & Investment Fraud Attorneys in Nearby CitiesStockbroker & Investment Fraud Attorneys in Nearby Counties
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