Brian S Hamburger

Brian S Hamburger

also known as Brian Hamburger

5.0
Rating: 8.3

Licensed for 27 years

Financial markets and services Lawyer Practice Areas: Financial Markets and Services, Business, Employment & Labor ... +2 more

About Brian

Biography

Fees and Rates

We have not found any cost information for this lawyer


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Licenses

Licensed in New York for 27 years

State: New York

Acquired: 1999

Currently Registered

No misconduct found

Licensed in New Jersey for 27 years

State: New Jersey

Acquired: 1998

Active

No misconduct found

Licensed in Massachusetts for 19 years

State: Massachusetts

Acquired: 2006

Inactive

No misconduct found

Licensed in Pennsylvania for 22 years

State: Pennsylvania

Acquired: 2004

Inactive

No misconduct found

Licensed in District of Columbia for 24 years

State: District of Columbia

Acquired: 2002

Inactive

No misconduct found

Location

No contact information is available for this lawyer

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Brian S Hamburger's Reviews

Avvo Review Score

5.0 /5.0

4 Client Reviews

Filter Avvo Reviews (4) Refine reviews to match your needs. Use the filters to quickly surface reviews that align with your case or priorities.

Showing 1 - 1 of 1 review | Character & Conduct

Posted by Bob | July 25, 2013 | Business

When it matters

I have ongoing relationship with Brian since the securities industry requires regular regulatory oversight. Brian never seems to miss a step, he's always on top of what's going on but more than that, he operates from an intimate knowledge of what I need and why and perhaps more importantly, he knows ...what I also DO NOT need. Eliminating noise for me allows me to focus on my business more, making us more productive. I'm confident that we can go about out day-to-day activities with the understanding that Brian's got our back on compliance and regulatory matters. I think we all want value that's commensurate with the fees we pay, but Brian's been able to exceed that hurdle and actually added value to the growth of our business through his experience and insights.

See All Client Reviews

Brian S Hamburger's Lawyer Endorsements

Endorse Brian
Jeffrey Kent Riffer headshot
Jeffrey Riffer

Litigation lawyer | Jun 27

Relationship: Worked together on matter

"Brian and his firm have done a great job. They know the wealth management business."

David Michael Purcell headshot
David Purcell

Securities offerings lawyer | Jul 24

Relationship: Worked together on matter

"Since 2004, I have interacted professionally with Brian Hamburger on numerous occasions. His experience is wide-ranging, including expertise in securities law, employment law, corporate law and tax issues. His judgment is sound, and he has provided skillful and successful guidance in complex and sensitive matters. His firm [Hamburger Law Firm], with offices on both the east and west coasts, is staffed with competent and responsive individuals and has the resources necessary to manage the most complex legal issues. I strongly recommend his services."

Joseph A. Dougherty headshot
Joseph Dougherty

Litigation lawyer | Feb 04

Relationship: Opposing Counsel on matter

"I endorse this lawyer's work. Brian is a great lawyer and has very capable lawyers working with him in his Firm."

View All Endorsements
Joseph A. Dougherty headshot
Joseph Dougherty

Employment and labor lawyer

Experience

Rating:  8.3 (Excellent)

Honors

2020

Innovation Award, InvestmentNews

2020

The IA25, Investment Advisor Magazine

2020

Best Compliance / Law Firm, WealthManagement Industry Awards

2020

Best Succession Ownership Transition Services, WealthManagement Industry Awards

2019

Best Compliance / Law Firm, WealthManagement Industry Awards

2018

Best Compliance / Law Firm, WealthManagement Industry Awards

2017

Best Compliance / Law Firm, WealthManagement Industry Awards

2016

Best Compliance / Law Firm, WealthManagement Industry Awards

2012

Inc. 5000, Inc. Magazine

2012

Membership Service Award, US Coast Guard Auxiliary

2011

Inc. 5000, Inc. Magazine

2010

Inc. 5000, Inc. Magazine

2009

Inc. 5000, Inc. Magazine

2008

Inc. 5000, Inc. Magazine

2007

Inc. 5000, Inc. Magazine

Work Experience

2000 - Present

President & CEO, MarketCounsel

2000 - Present

Chief Counsel, Hamburger Law Firm

2000 - Present

Arbitrator, Finra Dispute Resolution

1998 - 2000

Associate, Stark & Stark

1997 - 1997

Law Clerk, US Securities & Exchange Commission

Associations

2020 - Present

Invest in Others Charitable Foundation

Board Member

2018 - Present

Team Rubicon

Greyshirt

2014 - Present

The Institute for the Fiduciary Standard

General Counsel to the Best Practices Board

2012 - Present

LawWithoutWalls

Judge; Mentor

2009 - Present

Strengthening the Advisor Community

Founding Member

2007 - Present

US Coast Guard Auxiliary

Member

2002 - Present

MarketCounsel Foundation

Chairman

Education

2006

University of Pittsburgh

Accredited Investment Fiduciary Analyst

2003

Wharton School, University of Pennsylvania

Certified Regulatory and Compliance Professional

1998

University of Miami School of Law

JD - Juris Doctor

1994

Quinnipiac College

BS - Bachelor of Science

Speaking Engagements

2013

MarketCounsel Member Roundtable

Year in Review– CLE Credits

2012

Webinar

The Switch; SEC to State

2012

Webinar

Results of the Fiduciary Impact Survey Not Making the Grade

2012

University G.A.M.E. II Forum

Rise of the Independent RIA Movement

2012

PAM Breakfast Briefing:

Powering Independence

2012

Member Summit

Regulatory Compliance

2012

MarketCounsel Roundtable

Social Media Roundtable – CLE Approved

2012

INSITE 2012

Regulatory Compliance

2012

IMPACT

Open Forum

2011

Webinar

SEC Fiduciary Report

2011

Webinar

Legal Considerations of Going Independent

2011

Webcast

What are SEC Auditors Looking for Now

2011

Partner Summit

Regulatory Compliance

2011

NYSSA Monthly Dinner

New Levers of Control: Candid Discussions about Becoming an RIA

2011

Member Summit

Regulatory Compliance

2011

INSITE

Unintended Consequences Amidst Changes to the Investment Adviser Regulatory Scheme

2011

Florida Compliance Event

The Effect of Regulatory Changes for Investment Advisers

2011

Experience 2011

Going Independent One Size Does Not Fit All

2011

Experience 2011

Unintended Consequences Amidst Changes to the Investment Adviser Regulatory Scheme

2011

Annual Conference

Unintended Consequences Amidst Changes to the Investment Adviser Regulatory Scheme

2011

Annual Advisor Forum

Unintended Consequences Amidst Changes to the Investment Adviser Regulatory Scheme

2011

2011 Career Conference and Annual Meeting

Unintended Consequences Amidst Changes to the Investment Adviser Regulatory Scheme

2009

FSP Forum

Best Practices for Averting and Managing Legal Disputes

2007

Foundation for Accounting Education

Managing Compliance for Accounting-Related Investment Advisers

2007

Annual Broker Dealer Training Session

Applying Best Practices to Address Conflicts of Interest

2006

NAPFA Northeast/Mid-Atlantic Webcast

Electronic Communications Compliance Dispelling Myths About Retention and Monitoring

2005

Atlanta Consultants Conference

Ethics, Compliance, and Liability Issues in the Securities Industry

2002

Select Advisors Program

Legal Aspects of the Select Advisors

Publications

2013

Financial Advisor Magazine Virtual Reality

2012

Financial Advisor Magazine Sleight of Hand

2012

Financial Advisor Magazine SEC Soft on Big Firms

2012

Financial Advisor Magazine Success Breeds Envy

2012

Financial Advisor Magazine Who Will Start the Revolution?

2010

Financial Planning Regulation Season

Languages

English

Avvo Rating

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  • Legal community recognition Peer endorsements, associations, awards
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  • Discipline Disciplinary information may not be comprehensive, or updated. We recommend that you always check a lawyer's disciplinary status with their respective state bar association before hiring them.
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