Mr. White is a securities arbitration and employment attorney. He has experience... more
Mr. White is a securities arbitration and employment attorney. He has experience representing investors in securities disputes with their brokerage firm or financial advisor. He also has experience representing brokerage firms in employment/contract disputes with former financial advisors. He has handled numerous FINRA (formerly NASD) arbitration matters, as well as handlings cases in County, C... view profile
Pravin Rao is a partner in the Litigation practice at Perkins Coie law firm and... more
Pravin Rao is a partner in the Litigation practice at Perkins Coie law firm and Chair of the firm's Investigations & White Collar Defense practice. He is uniquely positioned as a former Assistant U.S. Attorney, as well as an SEC Enforcement Branch Chief, to provide comprehensive representation and counseling to clients on a wide variety of complex criminal and civil regulatory matters, includin... view profile
Joel Levin is a member of the firms Investigations White Collar Defense group. His... more
Joel Levin is a member of the firms Investigations White Collar Defense group. His practice focuses on complex fraud and white collar matters, including false claims, health care fraud, tax and antitrust. Joel has extensive courtroom experience, having tried more than 40 federal jury trials during the course of his career. As a federal prosecutor, Joel was part of the trial team that successfu... view profile
My practice is focused exclusively on advising investment advisers and broker-... more
My practice is focused exclusively on advising investment advisers and broker-dealers for the purpose of maintaining regulatory compliance for those entities. To that end, my primary activities in advising clients are the following: 1) consulting on SEC, FINRA and state regulations and compliance with those regulations, 2) preparing clients for regulatory examinations and assisting with defici... view profile
I am a securities, real estate and business law attorney. Early in my career, I... more
I am a securities, real estate and business law attorney. Early in my career, I worked as a precious metals trader for Morgan Stanley and became intimately familiar with the securities and financial services industry.In 2007, I decided to complete my childhood dream of becoming an attorney. Over the course of the last several years, I have leveraged my prior experience in the financial services... view profile
My practice includes litigation, trials, appeals and arbitrations. Litigation... more
My practice includes litigation, trials, appeals and arbitrations. Litigation experience throughout the United States includes contract, fraud, securities, negligence, employment, real estate, professional malpractice, antitrust, racketeering, collections, administrative hearings, class actions, mass actions, regulatory organizations, state and federal appeals and other matters.
If you bought shares in a company whose value was intentionally exaggerated so you would make the investment, you may benefit from the services of a securities fraud lawyer (sometimes called an investment fraud attorney). Securities fraud is a white-collar crime that has increased as the Internet and stock markets have grown. One securities fraud example was the infamous Enron scandal, which allegedly involved top executives manipulating financial reports and filing false tax reports. While it is difficult for many investment fraud victims to recover their money, using a securities fraud lawyer will better your chances.