Skip to main content
Robert Michael Van De Veire

Robert Michael Van De Veire

Practice areas:

Arbitration, Litigation, Securities & Investment Fraud, Financial Markets and Services

Share your experience to help future clients.

Review Robert Van De Veire

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.


Practice Areas

Licensed since 2011

  1. Financial Markets and Services: 25%
    5 years
  2. Securities & Investment Fraud: 25%
    5 years
  3. Litigation: 25%
    5 years
  4. Arbitration: 25%
    5 years

Attorney Endorsements

No endorsements

Endorsements from fellow lawyers are an important consideration for many when selecting the right attorney. Be the first to endorse your colleague!

Endorse this lawyer

Contact Info

Malecki Law

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



NYDue to reregister within 30 days of birthday 201103/13/2015

Professional Misconduct

We have not found any instances of professional misconduct for this lawyer.

Avvo Contributions

Legal Answers

Work Experience

TitleCompany NameDuration
AssociateMalecki Law2010 - Present
Law ClerkMalecki Law2008 - 2010


Association NamePosition NameDuration
New York County Lawyers' AssociationCo-Chair - Securities and Exchange Committee2015 - Present
Public Investors Arbitration Bar AssociationN/AN/A
New York State Bar AssociationN/AN/A


Publication NameTitleDate
PIABA Bar JournalFee-Shifting for Fraudsters: Why Claimants Don’t Have to Agree2015
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 Journal• Suitability 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


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 Securities Arbitration ClinicDrafting a Statement of Claim in a FINRA Arbitration2015