Brentwood Securities Lawyers

Compare 24 top rated New York attorneys serving Brentwood.
Lawyer Rating
Video Conferencing
Free Consultation & Fees
More Filters
Neil M. Kaufman
Claimed Lawyer ProfileSocial Media
Neil M. Kaufman
Hauppauge, NY Securities Law Attorney with 39 years of experience
(631) 972-0042 190 Motor Pkwy
Suite 200
Hauppauge, NY 11788
Free ConsultationSecurities, Business and Cannabis Law
New York University School of Law
Neil M. Kaufman is the managing member of 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 a fixture of the New York and Long Island corporate and securities legal community. Mr. Kaufman represents emerging growth, middle market and public companies and investment firms in their corporate, securities, financing, borrowing, merger & acquisition and other legal matters. Mr. Kaufman advises clients with respect to SEC regulation, public offerings, private placements and mergers & acquisitions, as well as...
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. -...
Jeffrey Michael Haber
Claimed Lawyer ProfileQ&ASocial Media
Jeffrey Michael Haber
Melville, NY Securities Law Lawyer with 35 years of experience
(631) 574-4454 105 Maxess Road, Suite S124
Melville, NY 11747
Free ConsultationSecurities, Arbitration & Mediation and Business
Hofstra University
Located in New York City and Melville, Long Island, Freiberger Haber LLP is dedicated to representing corporations, small businesses, partnerships and individuals involved in a broad range of complex business, real estate, construction and commercial litigation matters. The firm combines the sophistication and counsel of a large national law firm with the economy, flexibility, commitment and personal attention of a small firm.

The Firm's attorneys are devoted to developing and fostering client relationships and being readily available to respond to their questions and concerns. By understanding their clients’ objectives and anticipating the problems associated with achieving these goals, our attorneys work...
Timothy J. Dennin
Claimed Lawyer ProfileOffers Video ConferencingSocial Media
Timothy J. Dennin
NORTHPORT, NY Securities Law Lawyer with 40 years of experience
(631) 261-0250 316 MAIN ST
NORTHPORT, NY 11768
Offers Video ConferencingVideo ConfSecurities and Stockbroker Fraud
St. John's University School of Law
New York attorney Timothy J. Dennin is a focused advocate for investors, not a general practice litigator. His extraordinary record of recovering lost money, and his national and international clientele attest to his commitment to seeing justice done.

Timothy J. Dennin began his career as an assistant district attorney in Nassau County, New York, and subsequently as a lawyer in the Washington, D.C., office of the Securities and Exchange Commission. Mr. Dennin received a J.D., with honors, from St. John’s University School of Law in 1983 and a Bachelor of Arts from the College of the Holy Cross in 1978.

He is...
Daniel D'Costa
Claimed Lawyer ProfileSocial Media
Daniel D'Costa
(516) 526-3082 100 Duffy Ave
#510
Hicksville, NY 11801
Free ConsultationHicksville, NY Securities Law Attorney with 8 years of experience
Securities and Personal Injury
Brooklyn Law School
Daniel D’Costa, Esq. is the managing partner at D’Costa Law, P.C. His practice focuses on FINRA securities arbitration, fraud, personal injury, workers’ compensation, and insurance provider denials of no-fault benefits for both injured parties and health care providers. As an experienced litigator, Daniel has represented all types of clients around the nation and abroad in court and various forms of alternative dispute resolution forums. Daniel is passionate about the law, his clients and providing personal attention to each of his clients in order to make the legal process as stress free as possible while achieving the best possible outcome. Daniel represents...
Leonard Jeffrey Breslow
Claimed Lawyer Profile
Leonard Jeffrey Breslow
Jericho, NY Securities Law Lawyer with 31 years of experience
(516) 822-6505 100 Jericho Quadrangle
Suite 230
Jericho, NY 11753
Securities and Business
New York University School of Law
Mark R. Basile
Claimed Lawyer Profile
Mark R. Basile
Jericho, NY Securities Law Lawyer with 35 years of experience
(516) 455-1500 390 N. Broadway
Suite 140
Jericho, NY 11753
Securities
Touro College Jacob D. Fuchsberg Law Center
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...
Michael Eric Berman
Claimed Lawyer Profile
Michael Eric Berman
Bellmore, NY Securities Law Lawyer with 26 years of experience
2492 Merrick Road
Bellmore, NY 11710
Securities
University of Pennsylvania Law School
Michael E. Berman, P.C. has offices in Long Island and in Manhattan, and is managed by Michael Eric Berman, Esq. Mr. Berman received his JD degree from the Law School at the University of Pennsylvania in 1997 and his BS degree in Economics (magna cum laude) from the Wharton Business School in 1993
Vicki Gruber
Claimed Lawyer Profile
Vicki Gruber
Farmingdale, NY Securities Law Lawyer with 33 years of experience
(516) 845-8088 17 Conklin St
Farmingdale, NY 11735
Securities, Arbitration & Mediation and Business
Harry Reuben Ballan
Central Islip, NY Securities Law Lawyer with 31 years of experience
(631) 761-7100 225 Eastview Dr
Central Islip, NY 11722
Securities
Columbia Law School
Kimberly Ann Fandrey
Melville, NY Securities Law Attorney with 24 years of experience
(631) 756-7336 395 N Service Rd
FL 4
Melville, NY 11747
Securities, Appeals, Construction and Employment
Syracuse University College of Law
Lisa Lisette Albert
Smithtown, NY Securities Law Lawyer with 24 years of experience
(631) 265-0010 80 Maple Ave
Smithtown, NY 11787
Securities
Maurice A. Deane School of Law at Hofstra University and Maurice A. Deane School of Law at Hofstra University
Richard Minicucci
Jericho, NY Securities Law Lawyer
(516) 832-7527 50 Jericho Quadrangle
#300
Jericho, NY 11753
Securities, Antitrust, Business and Construction
Memphis State University School of Law
Michael Schnipper
Jericho, NY Securities Law Lawyer
(516) 832-7518 50 Jericho Quadrangle
#300
Jericho, NY 11753
Securities and Business
Hofstra University
Peter Papagianakis
Offers Video Conferencing
Peter Papagianakis
Jericho, NY Securities Law Attorney with 23 years of experience
(516) 246-6600 100 Jericho Quadrangle
Suite 208
Jericho, NY 11753
Offers Video ConferencingVideo ConfSecurities and Business
Florida State University College of Law
Peter Papagianakis has practiced law exclusively in the area of business contracts and transactions since graduation from law school in 1997. He has experience as an attorney for large law firms and as senior in-house counsel for public company that was listed on the NYSE. Peter has represented public companies as well as private companies from inception to IPO and beyond. In 2011, Peter was honored with a "Long Island Business News 2011 Leadership in Law" award. In addition to practicing law, Peter (1) served on the Board of Directors of NYS-based multi-state property and casualty insurance company and (2) taught...
Adam Michael Nicolazzo
Social Media
Adam Michael Nicolazzo
Woodbury, NY Securities Law Lawyer with 16 years of experience
(516) 681-1100 135 Crossways Park Dr
201
Woodbury, NY 11797
Free ConsultationSecurities, Appeals, Arbitration & Mediation and Business
New York Law School
Adam M. Nicolazzo has helped recover millions of dollars in cases stemming from Ponzi and promissory note selling away schemes, and unsuitable and fraudulent investments. He has successfully represented numerous industry participants in employment disputes and obtained “no action” letters from FINRA Enforcement. Adam is proud to actively advocate for fair securities markets and increased disclosure for public investors. He is a member (and has served as Co-Chairman) of PIABA’s SRO Committee, which frequently comments on securities industry rule proposals, and has advised State and Federal Courts regarding securities laws and industry practices by writing “friend of...
Larry Howard Ingber
Garden City, New York Securities Law Attorney with 40 years of experience
(516) 228-8900 666 Old Country Road
Garden City, NEW YORK 11530
Securities, Appeals, Business and Construction
Rutgers University School of Law
Michael Taubin
Jericho, NY Securities Law Lawyer
(516) 832-7521 50 Jericho Quadrangle
#300
Jericho, NY 11753
Securities, Antitrust, Business and Construction
Brooklyn Law School
James Weller
Jericho, NY Securities Law Attorney
(516) 832-7543 50 Jericho Quadrangle
#300
Jericho, NY 11753
Securities, Arbitration & Mediation, Business and Health Care
Hofstra University School of Law
Allan Cohen
Jericho, NY Securities Law Lawyer
(516) 832-7522 50 Jericho Quadrangle
#300
Jericho, NY 11753
Securities and Business
Columbia University School of Law
Rebecca Simone
Jericho, NY Securities Law Lawyer
(516) 832-7524 50 Jericho Quadrangle
#300
Jericho, NY 11753
Securities, Antitrust, Business and Construction
Hofstra University School of Law
Joel Philip Seidner
Coram, NY Securities Law Attorney with 27 years of experience
(832) 620-8528 20 Hawkins Path
Coram, NY 11727
Securities, Business and Stockbroker Fraud
Texas Southern University Thurgood Marshall School of Law
Joseph Gitto
Garden City, NY Securities Law Attorney
(516) 832-7570 990 Stewart Avenue
Garden City, NY 11530
Securities, Antitrust, Business and Construction
Jennifer Bolton
Jericho, NY Securities Law Lawyer
(516) 832-7568 50 Jericho Quadrangle
#300
Jericho, NY 11753
Securities, Antitrust, Business and Construction
Benjamin N. Cardozo School of Law
Robert L. Herskovits
Claimed Lawyer ProfileBlawg SearchSocial MediaResponsive Law
Robert L. Herskovits
(212) 897-5410 305 Broadway 7th Floor
New York, NY 10007
Free ConsultationNew York, NY Securities Law Lawyer
Securities, 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...
Adam Gana
Claimed Lawyer ProfileBlawg SearchSocial Media
Adam Gana
(800) 810-4262 295 Madison Ave #705
New York, NY 10017
Free ConsultationNew York, NY Securities Law Lawyer with 18 years of experience
Securities, 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...
Sonya Tien
Claimed Lawyer ProfileSocial Media
Sonya Tien
New York, NY Securities Law Attorney with 12 years of experience
(212) 810-7688 42 Broadway
12th Floor, Suite 349
New York, NY 10004
Free ConsultationSecurities, Arbitration & Mediation, Business and Personal Injury
Columbia Law School
Sonya Tien leads her law firm's litigation, corporate, personal injury, and intellectual property practices. She received her law degree from Columbia University and was recognized as a Harlan Fiske Stone Scholar. Sonya received her business degree from the University of North Carolina at Chapel Hill, Kenan Flagler Business School, where she earned 17 scholarships. Sonya was named a Rising Star by Super Lawyers since 2020, Top 40 Under 40 Civil Plaintiffs' Lawyers, and Top 100 Civil Trial Lawyers by The National Trial Lawyers. Her articles have been published by the Wall Street Lawyer and Practising Law Institute. She has presented on the...
Ross B. Intelisano
Claimed Lawyer ProfileOffers Video ConferencingQ&ABlawg SearchSocial Media
Ross B. Intelisano
(212) 684-0300 183 Madison Ave
#1601
New York, NY 10016
Free ConsultationOffers Video ConferencingVideo ConfNew York, NY Securities Law Attorney with 29 years of experience
Securities, Arbitration & Mediation, Business and Stockbroker Fraud
Brooklyn Law School
Ross B. Intelisano is a founding partner of Rich, Intelisano & Katz, 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...
Jenice Malecki
Claimed Lawyer ProfileOffers Video ConferencingBlawg SearchSocial Media
Jenice Malecki
New York, NY Securities Law Attorney with 32 years of experience
(212) 943-1233 11 Broadway
#715
New York, NY 10004
Free ConsultationOffers Video ConferencingVideo ConfSecurities, 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...
Bradley L. Henry
Claimed Lawyer ProfileSocial Media
Bradley L. Henry
New York, NY Securities Law Attorney with 17 years of experience
(212) 730-7700 800 3rd Ave.
24th Floor
New York, NY 10022
Free ConsultationSecurities, Business, Criminal and White Collar Crime
University of Tennessee College of Law and Florida Coastal School of Law
Brad Henry represents entities and individuals in criminal and regulatory litigation and investigations, international arbitrations, and internal investigations. Brad is a board-certified criminal trial specialist and has represented and defended clients in trials and investigations involving U.S. Attorneys’ Offices in over fifteen different districts around the country.

Brad represents clients in investigations and litigation involving the Department of Justice (National Security Division, Computer Crime and Intellectual Property Section, Environment and Natural Resources Division), Securities and Exchange Commission, Commodity Futures Trading Commission, Office of Foreign Assets Control, as well as other federal, state and local agencies. He also conducts internal investigations...
Mark J. Astarita
Claimed Lawyer ProfileOffers Video ConferencingBlawg SearchSocial MediaResponsive Law
Mark J. Astarita
New York, NY Securities Law Attorney with 42 years of experience
(212) 509-6544 11 Broadway
Suite 615
New York, NY 10004
Free ConsultationOffers Video ConferencingVideo ConfSecurities, 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...
Brian J. Neville
Claimed ProfileBlawg SearchSocial Media
Brian J. Neville
(212) 696-1999 350 Fifth Avenue
Suite 4640
New York, NY 10118
Securities, 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.
Thomas Ajamie
Claimed Lawyer ProfileBlawg SearchSocial MediaResponsive Law
Thomas Ajamie
New York, NY Securities Law Attorney with 38 years of experience
(713) 860-1600 460 Park Avenue
21st Floor
New York, NY 10022
Securities, Antitrust and Business
University of Notre Dame
Tom Ajamie is an internationally-recognized trial lawyer who has successfully represented clients in complex commercial litigation and arbitration. The authoritative Chambers USA has described Tom as “relentless, energetic and intelligent” and a “hard-working and successful trial lawyer who never quits.” He has handled a number of high-profile cases, including groundbreaking securities and financial cases, cross-border litigation, business contract disputes and employment issues. Tom has won two of the largest awards ever handed down by an arbitration panel for investors, including a $429.5 million award. He has also won a record $112 million civil RICO jury verdict.

Tom is regularly invited to...
Rogelio J. Carrasquillo
Claimed Lawyer ProfileOffers Video ConferencingSocial Media
Rogelio J. Carrasquillo
NEW YORK, NY Securities Law Lawyer with 24 years of experience
(646) 948-1880 1177 Avenue of the Americas
5th Floor
NEW YORK, NY 10036
Offers Video ConferencingVideo ConfSecurities, Business, Immigration and International
University of Pennsylvania Law School and Georgetown University
Roy has been providing strategic guidance and advice to clients in a variety of complex and sophisticated legal transactions for over 20 years. He advises domestic and foreign companies, multinationals, and entrepreneurs on their business activities and investment considerations in the United States and throughout Latin America, Asia, and Europe, including in cross-border transactions.

Roy assists clients in equity and debt offerings registered under U.S. securities laws, the issuance of equity and debt in global transactions not subject to the registration requirements of U.S. securities laws and with corporate governance and securities regulation matters.

Roy also advises clients on M&A transactions, joint...
Barry R. Lax
Claimed Lawyer ProfileBlawg SearchSocial Media
Barry R. Lax
New York, NY Securities Law Lawyer with 30 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....
Ryan Gordon Blanch
Claimed Lawyer ProfileSocial MediaResponsive Law
Ryan Gordon Blanch
New York, NY Securities Law Attorney with 23 years of experience
(212) 268-9700 261 Madison Ave.
12th Floor
New York, NY 10016
Free ConsultationSecurities, Criminal, Stockbroker Fraud and White Collar Crime
Southern Methodist University
Ryan Blanch is a well-known Reputation Management attorney. With years of experience as a New York criminal defense lawyer, Mr. Blanch has successfully handled a wide variety of crises, including government investigations, complex white-collar crimes, health care fraud, and felonies/misdemeanors. Mr. Blanch has represented numerous individuals, including executives, attorneys, accountants, health care providers, financial industry professionals, as well as various corporations, in high-stake reputational crises. His unparalleled expertise has made him one of the most sought-after attorneys in the field of Reputation Management. With a track record of success, Mr. Blanch has had a number of cases chronicled in various media outlets....
Robert W. Anderson
Claimed Lawyer ProfileSocial Media
Robert W. Anderson
New York, NY Securities Law Attorney with 37 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.
Neil Fridman
Claimed Lawyer ProfileOffers Video ConferencingSocial MediaResponsive Law
Neil Fridman
New York, NY Securities Law Lawyer with 14 years of experience
(212) 262-9823 154 Grand Street
3rd Floor
New York, NY 10013
Free ConsultationOffers Video ConferencingVideo ConfSecurities, 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...
Stuart David Meissner
Claimed Lawyer ProfileSocial Media
Stuart David Meissner
New York, NY Securities Law Lawyer with 35 years of experience
(866) 764-3100 1430 Broadway
Suite 1802
New York, NY 10018
Free ConsultationSecurities, Arbitration & Mediation, Criminal and Stockbroker Fraud
New York University School of Law and Maurice A. Deane School of Law at Hofstra University
Attorney Stuart Meissner was born in 1962 in Brooklyn, New York. He earned his Bachelor’s and Juris Doctorate from Hofstra University. He went on to earn his masters of law degree from New York University Law School. He opened his own practice, Meissner Associates, twenty years ago in 2001 in Manhattan, New York. His practice focuses primarily on SEC whistleblower cases, investment disputes, securities violations, and FINRA arbitration. After 9/11, Attorney Meissner volunteered at Ground Zero on “the pile” on the “bucket brigade” along with fire and police officers, sifting through debris trying to find survivors. He was later subsequently...
Manuel G.R. Rivera
Claimed Lawyer ProfileSocial Media
Manuel G.R. Rivera
New York, NY Securities Law Attorney with 26 years of experience
(212) 318-3000 666 Fifth Avenue
33rd Floor
New York, NY 10103
Securities
Harvard Law School and Yale University
I am a New York-based corporate lawyer with more than 15 years of experience representing middle market public companies, particularly in technology, retail, mining and energy businesses, in securities law compliance and corporate governance matters, financing transactions and corporate acquisitions and mergers. I have guided several dozen U.S. public companies and foreign private issuers in complying with federal securities law periodic reporting requirements and new regulations including the JOBS Act, the Dodd-Frank Act and the Sarbanes-Oxley Act. I also advise major shareholders and corporate insiders in resales of restricted securities, estate planning transactions involving public company stock and compliance with insider...
Toggle tool

There are no recently viewed profiles.

There are no saved profiles.

There are no profiles to compare.