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About me

I am a New York-based securities litigation and arbitration attorney representing defrauded investors, financial industry professionals in employment disputes and regulatory investigations, and whistleblowers under Dodd-Frank.

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Practice areas

Licensed

  1. Financial Services: 25%
    6 years
  2. Investment Fraud: 25%
    6 years
  3. Litigation: 25%
    6 years
  4. Arbitration: 25%
    6 years

Payment

Fees:

Free consultation (30 minutes)

Payment types:

Cash, Check

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Contact info

Malecki Law

11 Broadway Ste 715
New York, NY, 10004-1371

Resume

License
StateStatusAcquiredUpdated
NJActive201107/15/2013
NYDue to reregister within 30 days of birthday 201103/13/2015
We have not found any instances of professional misconduct for this lawyer.
Avvo contributions
Legal answers
Awards
Award nameGrantorDate granted
Rising StarsSuper Lawyers2015
Work experience
TitleCompany nameDuration
AssociateMalecki Law2010 - Present
Law ClerkMalecki Law2008 - 2010
Associations
Association namePosition nameDuration
New York County Lawyers' AssociationCo-Chair - Securities and Exchange Committee2015 - Present
New York State Bar AssociationMember2014 - Present
Public Investors Arbitration Bar AssociationMember2010 - Present
Publications
Publication nameTitleDate
PIABA Bar JournalFee-Shifting for Fraudsters: Why Claimants Don’t Have to Agree2015
Practising Law InstituteCross Examination of the Broker in Product Cases2015
PIABA Bar JournalRecent Arbitration Awards2014
PIABA Bar JournalFear Not!!! Abbar Is Not A Bar To Selling Away Claims2014
Practising Law InstituteShould Mid-Case Referrals Be Permitted in FINRA Arbitrations?2014
New York City Bar, Securities Arbitration & Mediation Hot TopicsTriggering and Tolling: Application of the FINRA Eligibility Rule from a Claimant’s Perspective2014
PIABA Bar JournalSuitability in the Wake of FINRA Regulatory Notice 12-552012
Practising Law InstituteEthics in Discovery: Court and Arbitration2012
The Journal of Civil Rights and Economic DevelopmentSecondary Liability Under Section 10(B) Of The Securities Act Of 1934 And Rule 10b-5 Post-Stoneridge2011
Education
School nameMajorDegreeGraduated
St John's University School of LawLawJD - Juris Doctor2010
Drew UniversityEconomics - FinanceBA - Bachelor of Arts2007
Speaking engagements
Conference nameTitleDate
St. John's University School of Law - Securities Arbitration ClinicDrafting a Statement of Claim in a FINRA Arbitration2015
St. John's University School of Law - Securities Arbitration ClinicDrafting a Statement of Claim in a FINRA Arbitration2015