As the Managing Partner of Warren Law Group, I litigate securities matters for RIAs, RIA members and investors. I also advise on financial regulatory issues. In addition to FINRA, we represent clients before AAA, JAMS and other arbitration bodies
Christopher D. Warren litigates securities, business to business disputes, shareholder and partnership disputes, other civil matters in state and federal court, as well as arbitration bodies such as FINRA, AAA, and JAMS.
Christopher has broad experience representing individual public investors with claims against stockbrokers and their broker-dealers in FINRA arbitration, as well as defending brokers and registered financial advisors in regulatory enforcement actions and investigations by the SEC and FINRA. Typical investor matters include broker misconduct, securities fraud, negligence, breach of fiduciary duty, unsuitability claims and unauthorized trading. Typical regulatory defense matters include FINRA OTR representation, FINRA 8210 compliance, AWC settlement negotiations, U4 and U5 expungement, unpaid bonus claims, employee forgivable loan (EFL) and promissory note defense.
Christopher also provides effective and creative business solutions to commercial litigation matters, including business torts, breach of contract, business divorce, breach of fiduciary duty claims, accounting actions, commercial contract litigation, construction litigation, and real estate broker litigation. Typical matters include minority shareholders seeking a proper accounting in breach of fiduciary duty claims, dissolution or “business divorce” proceedings, real-estate brokers recovering unpaid sales commissions, partnership disputes in closely held businesses, fraudulent inducement and material breach of contract, and private placement memorandum (PPM) litigation.
Before earning his J.D., Christopher was a principal in several successful real estate businesses and earned a securities license with the National Association of Securities Dealers, Inc. (NASD), the predecessor of the Financial Industry Regulatory Authority, Inc. (FINRA). Chris’s industry and business background provide him with practical experience and valuable insight into these sectors. With decades of background in financial services, securities, real-estate, and business, Christopher can create tailored and effective strategies to service his clients with innovative sophistication, assess options, and advise on a course of conduct consistent with the client’s goals and business strategies.
All investors, regardless of their wealth or size of their loss, deserve the right to be treated honestly in their investments and business dealings and have their claims handled professionally. All financial services professionals have the right to be treated fairly by their employers and have counsel to assist them in defense of any regulatory inquiry. Every client’s circumstances are unique. As a result, we tailor our approach individually to them to best fit ever matter.
|Managing Partner||Warren Law Group||2018 - Present|
|Associate||Borah, Altschuler, Goldstein, Nahins & Goidel||2016 - 2018|
|Associate||Davidoff Hutcher & Citron||2014 - 2016|
|New York Law School||JD - Juris Doctor||2013|
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