Melbourne Beach Securities Lawyers

Thomas F. Shine
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Thomas F. Shine
Indialantic, FL Securities Law Attorney with 43 years of experience
(321) 724-4445 114 Sixth Avenue, Suite 4
Indialantic, FL 32903-3250
Securities
Florida State University College of Law, Cumberland School of Law, Samford University and Florida State University College of Law
Former SEC Enforcement Attorney (7-1/2 years) Represented investors in claims against financial services providers for over 16 years MBA Formerly taught Investments and Corporate Finance in college More biographical information at www.thomasfshinelaw.com
Al Hausauer
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Al Hausauer
Melbourne, FL Securities Law Lawyer with 42 years of experience
(321) 220-5397 P.O. Box 411583
Melbourne, FL 32941
Securities, Business and Stockbroker Fraud
Andrew David Easler
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Andrew David Easler
Melbourne, FL Securities Law Lawyer with 2 years of experience
(321) 206-3603 508 N. Harbor City Blvd
Melbourne, FL 32935
Securities, Business, Estate Planning and Probate
Florida A&M University College of Law
I’m a forward-thinking attorney with a passion for resolving complex legal matters and developing lasting strategies for clients. I love a challenge and I am known for being proactive, attentive, and responsive. I became a lawyer because I could never find an attorney who genuinely cared about me or my businesses. As an entrepreneur who has started, developed, managed, sold, and participated in just about every aspect of operating a business, I understand what an exceptional attorney should be. As your attorney, it’s my responsibility to be more than just a legal advocate or advisor of the law. I am a champion...
W. Scott Turnbull
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W. Scott Turnbull
Port St. Lucie, FL Securities Law Attorney with 25 years of experience
(772) 335-2600 1935 Southeast Port Saint Lucie Boulevard
Port St. Lucie, FL 34952
Securities, Bankruptcy, Business and Probate
University of Detroit Mercy School of Law
Scott focuses his legal practice working with business owners to provide advice on asset protection, contract negotiations, corporate governance, and securities law. Scott’s experience includes extensive litigation experience that informs his approach to advising clients on various business transactions. While his practice is based in Florida, he is also admitted in Michigan and Illinois and has represented clients in many other jurisdictions.
Marc S. Dobin
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Marc S. Dobin
Port St Lucie, FL Securities Law Lawyer with 37 years of experience
(561) 575-5880 11954 SW Sandy Bay Cir
Port St Lucie, FL 34987
Securities, Arbitration & Mediation, Business and Stockbroker Fraud
New York Law School
Craig D. Stein
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Craig D. Stein
Palm Beach, FL Securities Law Attorney
(561) 659-8802 205 Worth Avenue
Suite 203
Palm Beach, FL 33480
Free ConsultationSecurities, Arbitration & Mediation and Stockbroker Fraud
Nova Southeastern University
Craig Stein has been practicing law for 15 years. He has handled over 850 employment and consumer related securities matters and also represented over 400 brokers who transferred billions of dollars in assets under management from one brokerage firm to another. Mr. Stein is the Chair of the Palm Beach County Bar Association Securities Law Committee.
Philip K. Calandrino
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Philip K. Calandrino
Orlando, FL Securities Law Attorney with 25 years of experience
(407) 621-4200 1615 Woodward St
Orlando, FL 32803
Free ConsultationSecurities, Business, Employment and Estate Planning
Indiana University Maurer School of Law
As an entrepreneurial lawyer, I understand the challenges that small business owners face each day. We deal with vendors, customers, employees, taxes, and regulations all the time. Each one of these relationships creates legal risks that you must address in a cost-effective manner, before trouble strikes. Relying on my experience in trying business law cases, I have developed a three-step legal strategy that every small business owner should implement. In its most basic form, this strategy employs contracts, insurance coverage, and an operating company-management company-holding company format for the organization, to help control the common risks that can tank...
Matthew N. Thibaut
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Matthew N. Thibaut
Palm Beach, FL Securities Law Lawyer with 23 years of experience
(561) 585-0000 359 S County Rd
Palm Beach, FL 33480
Free ConsultationSecurities, Arbitration & Mediation and Stockbroker Fraud
Nova Southeastern University
My securities practice primarily focuses on maximizing an individual investor's recovery related to disputes involving stocks, bonds, mutual funds, hedge funds, private placements and structured products throughout the state of Florida, as well as the United States.
Adam T. Rabin
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Adam T. Rabin
West Palm Beach, FL Securities Law Attorney
(877) 915-4040 1601 Forum Pl
#505
West Palm Beach, FL 33401
Securities, Arbitration & Mediation, Business and Stockbroker Fraud
University of Miami School of Law
Jon Andrew Jacobson
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Jon Andrew Jacobson
Vero Beach, FL Securities Law Attorney with 25 years of experience
601 21st St.
Suite 300
Vero Beach, FL 32960
Free ConsultationSecurities, Arbitration & Mediation, Business and Stockbroker Fraud
Duke University School of Law
Jon has spent his entire legal career practicing securities. He handled over 1,000 securities matters and has successfully represented some of the most demanding clients in multi-million-dollar disputes throughout Florida and United States. He has represented individual and corporate clients in civil actions in state and federal court (at the trial and appellate level); in regulatory investigations; in arbitrations; and in private mediations.

Jon has handled a wide range of matters, including: (i) stockbroker misconduct and investment fraud disputes (including claims involving unsuitability, churning, unauthorized trading, failure to execute trades, failure to hedge, selling away, theft, research analyst conflicts of...
Ryon Michael McCabe
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Ryon Michael McCabe
West Palm Beach, FL Securities Law Attorney
(877) 915-4040 1601 Forum Pl
#505
West Palm Beach, FL 33401
Securities, Arbitration & Mediation, Business and Stockbroker Fraud
Florida State University College of Law
Jason S. Haselkorn
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Jason S. Haselkorn
Palm Beach, FL Securities Law Lawyer with 30 years of experience
(561) 585-0000 359 S County Rd
Palm Beach, FL 33480
Free ConsultationSecurities, Arbitration & Mediation and Stockbroker Fraud
New York Law School
Securities arbitration and investment litigation focusing on damage and loss recovery for retail and institutional clients that have disputes with their financial advisors or firms involving stocks, bonds, limited partnerships, mutual funds, and other investment vehicles throughout the United States.
Jay Eng
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Jay Eng
Palm Beach Gardens, FL Securities Law Attorney with 25 years of experience
(561) 835-9400 3507 Kyoto Gardens Drive
Suite 200
Palm Beach Gardens, FL 33410
Securities, Business and Stockbroker Fraud
Tulane University School of Law and Florida State University College of Law
Experienced attorney in Federal courts, Florida state courts and FINRA arbitration with focus in securities law, securities class actions, broker-dealer disputes and business law.
Adam S Doner
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Adam S Doner
Palm Beach Gardens, FL Securities Law Attorney with 41 years of experience
(561) 333-3333 4114 Northlake Blvd
Palm Beach Gardens, FL 33410
Free ConsultationSecurities, Medical Malpractice, Personal Injury and Products Liability
Nova Southeastern University
Mr. Doner was admitted to the Florida Bar in 1983 and has garnered a long list of professional accolades and accomplishments throughout his career, including having been admitted entry into the prestigious Million Dollar Advocates Forum. Adam is a Partner at the law offices of Gordon & Doner and provides a comprehensive range of both experience and knowledge to our firm.
Laura Anthony
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Laura Anthony
West Palm Beach, FL Securities Law Lawyer with 31 years of experience
(800) 341-2684 330 Clematis Street, Ste.217
West Palm Beach, FL 33401
Securities
Florida State University College of Law
Ms. Anthony is an honors graduate from Florida State University College of Law and has been practicing law since 1993. Prior to founding Legal & Compliance, LLC, she served as Chief Legal Counsel for a national investment banking firm and NASDAQ broker dealer with over 200 employees. Ms. Anthony headed the firm's legal and compliance department and coordinated all legal work for the firm including all aspects of FINRA and SEC regulations, FINRA arbitrations, and public and private transactions.
Eric Anthony Lanigan
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Eric Anthony Lanigan
Winter Park, FL Securities Law Lawyer with 47 years of experience
(407) 740-7379 831 W. Morse Blvd.
Winter Park, FL 32789
Free ConsultationSecurities, Business, Real Estate and Stockbroker Fraud
Stetson University College of Law
Winter Park, Florida attorney Eric A. Lanigan has provided clients aggressive and experienced legal representation in real estate, business and civil, foreclosure, bankruptcy, and securities and investment losses law in Central Florida since 1976. Eric Lanigan has a strong history in securities law and the financial industry. He provides clients with the complex legal advice and counsel that family, individual and businesses need to get through legal issues. There’s not much I haven’t litigated from basic employment contract disputes to suits for defending for non-performance, to collecting damages in class-action suits,” Lanigan said. He has...
Lawrence 'Hank' Hornsby, Jr.
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Lawrence "Hank" Hornsby, Jr.
Winter Park, FL Securities Law Attorney with 18 years of experience
(407) 599-3800 1936 Lee Rd., Ste. 100
Winter Park, FL 32789
Securities, Business, Insurance Claims and Stockbroker Fraud
Stetson University College of Law
William Young Jr.
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William Young Jr.
Orlando, FL Securities Law Attorney with 20 years of experience
(407) 712-7300 801 N Orange Ave
Orlando, FL 32801
Securities
Barry University
Prior to attending law school, Mr. Young spent over eight years working in the securities industry. During that time period, he was a Vice President at a global securities and money management firm located in Winter Park, Florida, holding licenses as a General Securities Registered Representative (Series 7), a Registered Investment Advisor Representative (Series 65), a Uniform Securities Agent State Law Examination (Series 63) and Florida Insurance and Variable Annuity. Mr. Young joined the firm of Colling Gilbert Wright & Carter in September 2006 after spending several years practicing plaintiff-side securities litigation with Hooper & Weiss, LLC. He continues to...
Trevor K Brewer
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Trevor K Brewer
Maitland, FL Securities Law Attorney with 23 years of experience
(407) 660-2964 237 Lookout Pl Ste 100
Maitland, FL 32751
Securities, Business, Estate Planning and Probate
Emory University
Since 2000, I have helped business owners, professionals, and other people understand how the law affects them, their businesses, and their families, I have helped them deal with problems, and I have helped them realize opportunities. I've helped people with a wide range of legal matters including business ownership, mergers and acquisitions, private placements, commercial transactions, joint ventures, business succession planning, wills, trusts and estate planning, estate tax planning, asset protection planning, trust administration, probate administration, and federal and state taxation.
Neil B. Solomon
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Neil B. Solomon
West Palm Beach, FL Securities Law Lawyer
(561) 659-4020 CityPlace Office Tower
525 Okeechobee Blvd., Suite 1700
West Palm Beach, FL 33401
Securities, Arbitration & Mediation and Business
Mr. Solomon concentrates his practice in hedge fund litigation/counseling, securities arbitration; general civil litigation and financial markets' transactional matters. Prior to becoming a Partner of McLaughlin & Stern, LLP, Mr. Solomon was associated with Greenberg Traurig LLP, resident in that firm's West Palm Beach offices, where his focus was managing and trying as lead counsel, a multitude of securities arbitration matters before the NASD (now FINRA) and the NYSE. He also litigated other securities fraud matters.

Prior to that, Mr. Solomon was associated with two prominent Chicago based law firms working on both financial market litigation and transaction matters,...
Ralph Behr
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Ralph Behr
Boca Raton, FL Securities Law Lawyer with 47 years of experience
(800) 761-3446 2300 Corporate Blvd NW
#238
Boca Raton, FL 33431
Free ConsultationSecurities, Domestic Violence, Immigration and White Collar Crime
Maurice A. Deane School of Law at Hofstra University
Attorney Ralph Behr has been a prominent criminal trial attorney in Florida for over 30 years. His practice is 100% criminal trials, both Federal and State. Attorney Behr is the Chairman of the Criminal Law Committee of the South Palm Beach County Bar Association. Call if you have a criminal issue, have an immigration matter with criminal aspects, or want a consultation with Attorney Behr. Practicing in Miami, Fort Lauderdale, and New York, most of my work is cases of complexity and challenge. Your freedom is mine to protect! I have over thirty...
Mark J. Astarita
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Mark J. Astarita
Boca Raton, FL Securities Law Attorney with 42 years of experience
3010 North Military Trail
Boca Raton, FL 33431
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...
Jeffrey Peters Coleman
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Jeffrey Peters Coleman
Clearwater, FL Securities Law Attorney with 38 years of experience
(727) 461-7474 581 S Duncan Ave
Clearwater, FL 33756
Free ConsultationSecurities, Arbitration & Mediation, Estate Planning and Personal Injury
William & Mary Marshall-Wythe School of Law
I grew up in a large NAVY family. My father flew out of Tampa's MacDill Air Force Base in the sixties and I fell in love with the Tampa Bay community. After law school I came back to Florida to pursue my legal career with a passion for helping out individuals and families. I really enjoy the waterfront lifestyle here (when I can find the time to do so). I have a strong and long serving staff that makes client communication a top priority. My greatest joy is to work alongside my clients to help...
Christopher Wegner
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Christopher Wegner
Naples, FL Securities Law Attorney with 17 years of experience
(239) 449-9200 3510 Kraft Road
Suite 200
Naples, FL 34109
Free ConsultationSecurities, Business, IP and Tax
New York University School of Law and Stetson University College of Law
P. Christopher Wegner is an entrepreneur and the founding attorney at Wegner Law PLLC. He is one of the only attorneys in Southwest Florida with significant experience in sophisticated business and tax law matters and is recognized as one of the leading innovators in bringing that experience to small and midsized businesses who cannot always afford to engage larger law firms in South Florida.

In addition to the general business and corporate law services he provides to emerging and established companies in Southwest Florida, Chris works with multi-national corporations on difficult domestic and international tax issues including, multi-million dollar mergers and...
Cody L. Frank
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Cody L. Frank
Coral Gables, FL Securities Law Attorney with 7 years of experience
(305) 274-5507 4000 Ponce de Leon Blvd
Suite 630
Coral Gables, FL 33146
Securities, Appeals, Business and Entertainment & Sports
St. Thomas University School of Law
Cody Frank’s broad-based litigation experience representing both plaintiffs and defendants provides him with an invaluable perspective when prosecuting claims on behalf of individuals and businesses. Cody practiced civil appellate law specializing in medical malpractice and general negligence with a boutique firm based in Fort Lauderdale. He has litigated cases in multiple state and federal jurisdictions throughout the country. He has defended numerous dispositive motions, engaged in data-intensive discovery and worked extensively with experts and attorneys. His efforts while there have led to settlements and jury verdicts awarding millions of dollars in relief.

Cody has extensive experience handling appellate matters in state...
Brenda Hamilton
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Brenda Hamilton
Boca Raton, FL Securities Law Attorney with 30 years of experience
(561) 416-8956 200 E. Palmetto Park Rd
Suite 103
Boca Raton, FL 33432
Free ConsultationSecurities, Business, Stockbroker Fraud and White Collar Crime
University of Arkansas - Fayetteville
Founder and Partner of Hamilton & Associates Law Group, P.A., an international corporate finance, securities, business and transactional law firm with offices in Boca Raton, Florida, 1998-Present. The firm represents issuers on the NASDAQ Stock Exchange (NASDAQ), NYSE Stock Exchange (NYSE) and OTC Markets in securities and corporate finance matters. Notable Experience & Engagements: • Initial Public Offerings (IPOs) and Direct Public Offerings (DPOs) • Listing of Issuers on NASDAQ and NYSE • Securities law disclosures and compliance for issuers on NASDAQ, NYSE and OTC Markets • Outside general counsel for domestic and international issuers • Securities offerings and/or going public transactions ranging from less than $1,000,000 to more than $300,000,000...
Stephen Stallings
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Stephen Stallings
Miami, FL Securities Law Attorney with 31 years of experience
(786) 257-2770 601 Brickell Key Drive
Suite 700
Miami, FL 33131
Securities, Civil Rights, Health Care and White Collar Crime
University of Florida
Stephen S. Stallings is an experienced trial lawyer with over two decades of public and private experience providing counsel in False Claims Act/qui tam matters, white collar defense, commercial and securities litigation, FCPA, corporate compliance and internal investigations. He frequently serves as lead trial counsel in complex federal cases.

Mr. Stallings served for over seven years as an Assistant United States Attorney for the U.S. Department of Justice, where he prosecuted fraud and public corruption matters through investigation, indictment, trial and appeal in the U.S. Attorney's Offices for the Southern District of Florida in Miami and the Western District of...
Robert W. Pearce
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Robert W. Pearce
Boca Raton, FL Securities Law Attorney with 43 years of experience
(800) 732-2889 1499 W Palmetto Park Rd #400
Boca Raton, FL 33486
Free ConsultationSecurities, Arbitration & Mediation and Stockbroker Fraud
Maurice A. Deane School of Law at Hofstra University
By hiring Robert w. Pearce, you will have the benefit of 43 years experience gained in complex securities, commodities and investment fraud disputes on both sides of the table. He is one of the most experienced Financial Industry Regulatory Authority (FINRA) arbitration attorneys winning his first investor case in 1983 after working 3 years with the SEC in NYC and moving to Florida. He has earned a peer rating of AV Preeminent continuously since 1996 through the Martindale-Hubbell peer review rating process, the highest available rating through that program. Mr. Pearce has been one of Thomson Reuters Florida Super...
Jeffrey R. Sonn
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Jeffrey R. Sonn
Aventura, FL Securities Law Attorney with 36 years of experience
(305) 912-3000 19495 Biscayne Blvd
#607
Aventura, FL 33180
Free ConsultationSecurities, Arbitration & Mediation, Business and Insurance Defense
University of Miami School of Law
Mr. Sonn focuses his practice principally on complex securities litigation matters, including class actions.

During his career, Mr. Sonn has litigated numerous cases to successful resolution, recovering many millions of dollars for defrauded investors. He recently won a $50 million final judgment in Katz v. MRT Holdings, one of the few cases in the Private Securities Litigation Reform Act passed in 1995 to yield a final judgment on the merits.

Frequently, Mr. Sonn serves as a television commentator on securities fraud and ponzi scheme cases for CNBC, The CBS Sunday Morning Show, BBC Radio, ABC and MSNBC.

Mr. Sonn was the CNBC contributing...
Jeffrey Erez
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Jeffrey Erez
Miami, FL Securities Law Attorney with 27 years of experience
(305) 728-3320 1 SE 3rd Ave #1670
Miami, FL 33131
Free ConsultationSecurities, Arbitration & Mediation and Business
University of Miami School of Law
As founder of Erez Law, PLLC, Jeffrey Erez dedicates himself to protecting investors from dishonest brokers. He now focuses exclusively on securities arbitration and litigation. After graduating cum laude from McGill University, Mr. Erez earned his law degree cum laude from The University of Miami Law School in 1996. Throughout his career, he has obtained over $100 million in recoveries for clients in thousands of FINRA arbitrations and other securities cases. In the press, Mr. Erez is often quoted in securities-related articles. If you're an investor with any legal matter regarding securities, Mr. Erez is committed to passionately seeking justice...
Sara Hanley
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Sara Hanley
Naples, FL Securities Law Lawyer with 16 years of experience
(239) 649-0050 3200 Tamiami Trail N #200
Naples, FL 34103
Free ConsultationSecurities and Stockbroker Fraud
Nova Southeastern University
Attorney Hanley has focused her practice on representing investors nationwide who have lost their savings and retirement funds as a result of their brokerage accounts being mishandled. Attorney Hanley represents investors in claims against their brokers, broker dealers, investment advisors, financial advisors, and insurance companies. Attorney Hanley is experienced in providing representation for investors who have been the victims of financial fraud, negligence and unsuitable investments. Attorney Hanley has experience in prosecuting claims against the major Wall Street brokerage firms.

Attorney Hanley has extensive experience in the areas of securities litigation and arbitration, including securities class actions, numerous arbitrations...
Natalie F. Guerra-Valdes
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Natalie F. Guerra-Valdes
Fort Lauderdale, FL Securities Law Lawyer
(954) 764-7878 12 SE 7th St
#700
Fort Lauderdale, FL 33301
Free ConsultationSecurities, Appeals, Business and Consumer
University of Florida Levin College of Law
Lawrence Lee Klayman
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Lawrence Lee Klayman
Boca Raton, FL Securities Law Lawyer with 29 years of experience
(888) 997-9956 1200 N Federal Hwy
200
Boca Raton, FL 33432
Free ConsultationSecurities and Stockbroker Fraud
Shepard Broad Law Center, Nova Southeastern University
Lawrence L. Klayman, a Brooklyn native, is the founding partner of KlaymanToskes, P.A. His practice is exclusively limited to securities arbitration and litigation. Lawrence is a former licensed financial advisor who has spent decades applying what he has learned from working inside the securities industry to fight for the rights of injured investors. Lawrence understands what motivates financial advisors, he understands the complex products they sell, and he understands the imperfect compliance requirements set in place for the protection of investors. While attending Nova Southeastern University- Shepherd Broad Law Center, Lawrence received firsthand experience at the National Association of Securities Dealers...
Joel Ewusiak
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Joel Ewusiak
Tampa, FL Securities Law Attorney with 22 years of experience
(727) 286-3559 6601 Memorial Highway
Suite 311
Tampa, FL 33615
Securities, Arbitration & Mediation, Business and Stockbroker Fraud
Stetson University College of Law
Joel has handled a wide range of legal matters for both plaintiffs and defendants since he began practicing law in 2001. Joel focuses his law practice in two main areas: securities and investment arbitration and litigation, and commercial litigation. In the securities and investment area, Joel represents investors, agents, brokers and broker-dealers in customer and industry disputes involving suitability, breach of fiduciary duty, misrepresentation, and negligent supervision. In the area of commercial litigation, Joel represents clients in state and federal court disputes involving breach of contract, life insurance, and negligence. For more information, please visit www.ewusiaklaw.com.
Robert Howard Rex
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Robert Howard Rex
Boca Raton, FL Securities Law Attorney with 46 years of experience
(877) 224-3199 4800 N Federal Hwy.
E100
Boca Raton, FL 33431
Free ConsultationSecurities, Arbitration & Mediation and Stockbroker Fraud
University of Florida
Rex Securities Law- Robert H. Rex is a national securities lawyer with offices in Austin, Texas and Boca Raton, Florida. If you have questions about how to recover investment losses due to the fraud or negligence of a stock broker or stock brokerage firm, call for a no charge consultation.
Sergiu Gherman
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Sergiu Gherman
Miami, FL Securities Law Lawyer with 17 years of experience
(305) 889-7890 777 Brickell Ave
Ste 808
Miami, FL 33131-2803
Securities, Business, Insurance Claims and International
University of Florida
Sergiu "Sergey" Gherman is a commercial attorney. Having had experience with all stages of lawsuits, including appeals, Sergiu has appeared before judges in state and federal courts. He has successfully represented clients in matters alleging fraud, securities fraud, fraudulent transfers, employment discrimination defense, trusts and estate defense, in prosecution of professional malpractice, products liability, statutory easement, insurance claims (group health, individual health, auto), as well as in appeals. Sergiu is the former Honorary Consul of the Republic of Moldova in the State of Florida.
Adam Kara-Lopez
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Adam Kara-Lopez
Boca Raton, FL Securities Law Lawyer with 12 years of experience
(800) 732-2889 1499 W Palmetto Park Rd
#400
Boca Raton, FL 33486
Free ConsultationSecurities, Arbitration & Mediation, Business and Estate Planning
Florida International University College of Law
Scott L. Silver
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Scott L. Silver
Coral Springs, FL Securities Law Attorney with 28 years of experience
(954) 755-4799 11780 W Sample Rd
Coral Springs, FL 33065
Free ConsultationSecurities, Arbitration & Mediation and Stockbroker Fraud
University of Miami School of Law
Scott Silver has spent his entire legal career practicing securities and financial services law. Scott focuses his law practice on securities arbitration and litigation and plaintiff-side class action litigation, representing individual investors and institutions in claims against brokerage firms, investment advisors, commodities firms, hedge funds and others. Scott also routinely serves as counsel to receivers and trustees in matters relating to the recovery of investor losses in Ponzi schemes. Scott has extensive experience in arbitration before the Financial Industry Regulatory Authority (FINRA), the National Futures Association (NFA), and the American Arbitration Association (AAA). He has recovered millions of...
Jeffrey L. Cox
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Jeffrey L. Cox
Boca Raton, FL Securities Law Lawyer with 25 years of experience
(561) 989-9080 3010 N Military Trl
#210
Boca Raton, FL 33431
Free ConsultationSecurities, Arbitration & Mediation, Business and Stockbroker Fraud
Shepard Broad Law Center, Nova Southeastern University
Mr. Cox is a Founding Partner at Sallah Astarita Cox LLC. With over 20 years of experience, he provides skilled and knowledgeable counsel to clients with a broad array of legal needs. His practice is concentrated on Arbitration & Mediation, Business Law, Securities Law, Stockbroker & Investment Fraud, and White Collar Crime matters. Mr. Cox is committed to providing outstanding service and aggressive representation for his clients.

In 1995, Mr. Cox received a B.S. in Political Science from Furman University. He earned a J.D. from Nova Southeastern University—Shepard Broad Law Center in 1999. Following law school, Mr. Cox served as...
Bradford Michael Gucciardo
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Bradford Michael Gucciardo
Lakewood Ranch, FL Securities Law Lawyer with 25 years of experience
(844) 846-6075 8470 Enterprise Cir
#110
Lakewood Ranch, FL 34202
Free ConsultationSecurities and Stockbroker Fraud
St. John's University School of Law
Bradford M. Gucciardo is an experienced attorney whose work is devoted almost exclusively to the representation of stock market investors who have been victims of stockbroker and brokerage firm misconduct. Specifically, Mr. Gucciardo helps brokerage firm customers recover stock market losses, most often of retirement savings, that they sustained as the result of mishandling of their brokerage accounts. After he earned a Bachelor of Arts degree in the study of English literature, creative writing and criminology from the University of South Florida, Mr. Gucciardo, a native New Yorker, returned to New York to attend St. John’s University School of...
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