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As a former SEC lawyer and current FINRA arbitrator, Mr. Stephens’ legal practice forcuses on representing clients in binding securities arbitration before FINRA seeking to recover damages (compensatory and punitive) caused by improper stockbroker or adviser conduct, such as negligence, fraud, broken promises, excessive trading, unauthorized trades, or unsuitable investments.
Mr. Stephens, who has been interviewed by CNBC and "MONEY" magazine, is a former Attorney-Adviser with the U.S. Securities & Exchange Commission in both the Enforcement and Investment Management Divisions, and currently serves on the "Chairman" arbitrator roster of FINRA, having served as an arbitrator in customer cases for over 15 years.
Some notable Awards achieved by Mr. Stephens are highlighted by articles in the Wall Street Journal, such as Warren v. Morgan Stanley ($1,500,000 compensatory, $3,500,000 punitives), Saccheri v. A.G. Edwards ($750,000 compensatory, $2,250,000 punitives), and Boll v. Merrill Lynch ($625,000 compensatory, $938,000 punitives). Prospective clients may not obtain the same or similar results.
Additional Client References at
With offices in Boca Raton, Florida and Los Angeles, California, in a USA multi-jurisdictional practice, Mr. Stephens has handled FINRA. arbitration hearings for clients in such diverse locations as Anchorage, Seattle, San Francisco, Louisville, and Washington, D.C., and represented clients in many more parts of the United States and abroad.
Originally from New York, Mr. Stephens graduated from the University of Michigan with “High Distinction” and Phi Beta Kappa honors with a major in Economics. During college breaks, he was employed in New York on Wall Street" by Lazard Freres & Co., the international investment banking firm.
Subsequent to college, he graduated with a Juris Doctor degree from Cornell University and practiced law in New York City on Park Avenue with Otterbourg, Steindler, Houston & Rosen, primarily business litigation.
Accepting the invitation for a Fellowship with the Center for Study of Financial Institutions and Securities Markets, at the University of Pennsylvania, Mr. Stephens performed research on intricate legal questions under the Securities Act of 1933 and the Securities Exchange Act of 1934, and published several legal articles in law reviews. Following the Fellowship, which included finance course work at the Wharton School, Mr. Stephens was awarded an LL.M. (Master of Laws) post-doctorate degree in Securities Regulation from the University of Pennsylvania Law School.
Mr. Stephens then accepted a position as Attorney-Advisor with the U.S. Securities & Exchange Commission in Washington, D.C., initially with the Division of Investment Management, regulating investment advisors under the Investment Advisors Act, and mutual funds under the Investment Company Act. Thereafter, the Enforcement Division sought his services in its Organized Crime Branch, where Mr. Stephens presided over the first case to use the new U.S.-Swiss Treaty to open up Swiss bank accounts in a criminal investigation. In the evenings, Mr. Stephens, as an Adjunct Professor, taught business law to college students at Benjamin Franklin University, now merged with George Washington University.
Accepting an offer to relocate to California, Mr. Stephens served as a Senior Attorney with the Atlantic Richfield Company (“ARCO”) at its corporate headquarters involving major litigation defending ARCO. At one point, he was responsible for supervising ARCO’s defense in most of its litigation cases nationwide. While at ARCO, Mr. Stephens underwent training in the Trial Attorneys Program sponsored by the Los Angeles District Attorney’s Office, and performed pro bono services as a criminal prosecutor in Los Angeles.
Mr. Stephens decided to open his own litigation practice in Los Angeles, and ARCO became his principal client. Moreover, he was appointed by the Courts as a Judge pro tem, and sat on the bench for cases in the Los Angeles Municipal Court and Los Angeles Superior Court. Active in civic matters, Mr. Stephens was appointed and later reappointed to the State Architects Board by the Governor of California, where Mr. Stephens served as Vice-Chairman of the Enforcement Committee.
Mr. Stephens is a Member of the following Bars: California, Florida, New York, Washington, D.C., U.S. Supreme Court, U.S. Court of Appeals for the 2nd Circuit, 11th Circuit, and D.C. Circuit, U.S. District Court for the Southern District of Florida, and numerous other courts.
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Practice Areas
31 years | 100 cases
31 years | 100 cases
31 years | 100 cases
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Chat withState: California
Acquired: 1980
No misconduct found
State: New York
Acquired: 1975
No misconduct found
State: Florida
Acquired: 1993
No misconduct found
State: District of Columbia
Acquired: 1979
No misconduct found
10404 Ruthven Lane in Bel Air, Los Angeles, CA, 90077
6 Client Reviews
Showing 1 - 1 of 1 review | Communication Style
Posted by Irene | June 20, 2014 | Securities & Investment Fraud
Richard A Stephens, A Fabulous Attorney
I am a senior citizen who was scammed on my money by a Financial Planner. Richard A Stephens is an excellent attorney who knows how to win a case. Before I contacted him, I called many attorneys and were told the case was not worthwhile. He took me on as a client when all other attorneys refused. ...
Securities and investment fraud lawyer | Jun 26
Relationship: Fellow lawyer in community
"Richard is a passionate advocate for defrauded investors with significant experience trying finra arbitration cases."
Securities and investment fraud lawyer | Jun 02
Relationship: Fellow lawyer in community
"Richard's knowledge of securities law and FINRA rules and procedures is unmatched. His wealth of experience, strong advocacy skills and commitment to his clients sets him apart from his peers. He is certainly one of the top FINRA attorneys in Southern California. He's a first class attorney."
Arbitration lawyer
1992
Candidate on Ballot for Congress, U.S. Congress
1979
SEC Testimonial Award, U.S Securities & Exchange Commission
1987 - Present
Sole Partner -, Law Office of Richard A. Stephens
1979 - 1987
Attorney, Atlantic Richfield Company
1976 - 1979
Attorney-Adviser, U. S. Securities & Exchange Commission
1975 - 1976
Attorney-Fellow, Ceneter for the Study of Financial Institutions and Securities Markets
1974 - 1975
Attorney, Otterbourg, Steindler, Houston & Rosen, PC
2004 - Present
U.S. Court of Appeals for D.C. CircuitMember of Bar
2004 - Present
U.S. Court of Appeals for 11th CircuitMember of Bar
1998 - Present
Financial Industry Regulatory Authority (FINRA)Arbitrator (Chairman roster)
1994 - Present
U.S. District Court for the Southern Dist. of FLMember of Bar
1982 - Present
United States Supreme Court BarMember
1980 - Present
U.S. District Court for Central Dist. of CAMember of Bar
1975 - Present
New York State Bar AssociationMember
1975 - Present
U.S. Court of Appeals for 2nd CircuitMember of Bar
1975 - Present
U.S. District Court for the Southern Dist. of NYMember of Bar
1975 - Present
U.S. Dist. Court for the Eastern Dist. of NYMember of Bar
1975 - Present
U.S. Dist. Court for the Northern Dist. of NYMember of Bar
2001 - 2014
Public Investors Arbitration Bar AssociationMember
1989 - 1991
Los Angeles Municipal CourtJudge pro tem
1988 - 1991
Los Angeles Superior CourtJudge pro tem
1987 - 1992
California State Board of Architectural ExaminersVice Chair
Award of $260,000
Award of $400,000 plus attorneys fees
Award of $5,000.000, including punitive damages
Award of $280,000
Award of $369,000
Award of $200,000
Award of $700,000
Award of $3,000,000 including punitive damages
Award of $1,560,000, including punitive damages
Award of $229,000
Award of $422,000 including punitive damages
Award of $166,000
Award of $960,000 plus attorneys' fees.
Award of $464,000 plus attorneys' fees.
Award of $305,000
Award of $400,000
1977
LL.M - Master of Laws
1974
JD - Juris Doctor
1971
BA - Bachelor of Arts
2004
Punitive Damage Awards in Arbitrations
2001
Arbitrations filed against stockbrokers
1977
1977
English
Spanish
Legal Answers
Legal Guides
What can I do if an investment planner mishandled my IRA and I have lost 2/3rds of my money which I was to live on in old age?
17 Sep 2014
I put $100k into an investment - after 9 months he admitted he lost the money. Is a demand letter necessary b/f filing fraud?
18 Jun 2014
When is discovery exchanged during an arbitration lawsuit?
17 Jun 2014