Lockbourne Financial Services Attorneys — 6 found

Lawyers with

Avvo Rating

1.0 to 10.0


  1. Lockbourne Financial Markets and Services Attorney John Patrick Gilligan

    John Gilligan

    Columbus, OH Financial Markets and Services Attorney
    Licensed for 37 years
    Not yet reviewed
    AVVO
    RATING

    8.0

  2. Lockbourne Financial Markets and Services Attorney Robert Hiroshi Nichols

    Robert Nichols

    Columbus, OH Financial Markets and Services Attorney
    Licensed for 22 years
    Not yet reviewed
    AVVO
    RATING

    7.2

  3. Lockbourne Financial Markets and Services Attorney Steven David Forry

    Steven Forry

    Columbus, OH Financial Markets and Services Attorney
    Licensed for 12 years
    Not yet reviewed
    AVVO
    RATING

    6.8

  4. Lockbourne Financial Markets and Services Attorney Robert Rogers Ouellette

    Robert Ouellette

    Columbus, OH Financial Markets and Services Attorney
    Licensed for 23 years
    Not yet reviewed
    AVVO
    RATING

    8.2

  5. Lockbourne Financial Markets and Services Attorney Jay Randall Dingledy

    Jay Dingledy

    Columbus, OH Financial Markets and Services Attorney
    Licensed for 42 years
    Not yet reviewed
    AVVO
    RATING

    7.5

  6. Lockbourne Financial Markets and Services Attorney Matthew Thomas Green

    Matthew Green

    Columbus, OH Financial Markets and Services Attorney
    Licensed for 12 years
    Not yet reviewed
    AVVO
    RATING

    7.0

Financial Markets And Services

Financial markets, like NASDAQ, serve as clearing houses for stock sales and trades of publicly owned corporations. The financial markets and services industry is carefully regulated because there is a large volume of daily transactions, with substantial amounts of money involved. Ample room exists for system abuses and simple human error. Financial markets and services attorneys assist in stockholder and investor lawsuits, securities-related class actions, regulatory investigations and enforcement actions, private proceedings, broker-dealer claims, and actions involving tender offers and proxy contests. If you own stock in a publicly held company and have a concern or issue, a lawyer with a background in financial markets and services will be able to advise you.