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  • New York, NY Securities and Investment Fraud Lawyers

    This is page 2 for investment fraud attorneys in New York, NY. Compare 4,151 investment fraud lawyers near you. If you are looking for related practice areas, click here.

    New York Has 4151 Securities and Investment Fraud Attorneys with 806 Reviews

    Miles Dylan Schreiner

    PRO

    New York, NY
    Securities & Investment Fraud Lawyer Licensed for 13 years
    Practice Areas:  Securities & Investment Fraud, Litigation, Employment & Labor
    Peter M. Spett, Esq.
    Of Counsel, Klein & Hill, 521 Fifth Avenue, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 32 years
    Practice Areas:  Securities & Investment Fraud, Arbitration, Litigation and more
    Bio: The Law Office of Peter M. Spett concentrates in the recovery of investment losses and in the resolution of business disputes. We represent all types of clients, from single individuals to Fortune 500 companies. Most importantly, every single one ...

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    Murphy & McGonigle
    1185 Ave. of the Americas, 21st Floor, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 27 years
    Practice Areas:  Securities & Investment Fraud, White Collar Crime, Federal Crime
    Bio: As a federal prosecutor, I served in the General Crimes, Narcotics, and Securities and Commodities Frauds Task Force Units. During more than four years as a member of the Securities Unit, I successfully investigated and prosecuted cases under the ...
    Nisar Law Group, P.C.
    One Grand Central Place, 60 East 42nd Street, Suite 4600, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 16 years
    Practice Areas:  Securities & Investment Fraud, Discrimination, Securities Offerings and more
    Bio: Mahir S. Nisar is the Principal at the Nisar Law Group, P.C., a boutique employment litigation firm dedicated to representing employees who have experienced discrimination within the workplace. Mr. Nisar has developed a stellar reputation for effe...
    915 Broadway Ste 900, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 31 years
    Practice Areas:  Securities & Investment Fraud, Employment & Labor
    Bio: Ross has been practicing law in NYC for 25 years where he has represented investors and employees in the financial industry. He grew up in Rockaway Beach, Queens, and presently lives in Brooklyn with his wife Stacey Reiss, a film producer, and the...
    Roth Law Firm PLLC
    295 Madison Avenue, 22nd Floor, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 41 years
    Practice Areas:  Securities & Investment Fraud, Entertainment, Arbitration and more
    Bio: Mr. Roth is the President/Owner of The Roth Law Firm, PLLC, a midtown NYC boutique firm that represents both plaintiffs and defendants in commercial/business litigation with special emphasis on securities, entertainment/sports, employment, intelle...
    DiCello Levitt LLP
    485 Lexington Avenue, Suite 1001, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 32 years
    Practice Areas:  Securities & Investment Fraud, Class Action, Litigation and more
    Bio: Adam Levitt is one of the nation’s leading advocates for plaintiffs in complex, multidistrict, class action, public client, mass tort, and commercial litigation. Drawing on his extensive experience pursuing and obtaining justice for those who have...
    Phillips Nizer, LLP
    666 Fifth Avenue, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 35 years
    Practice Areas:  Securities & Investment Fraud, Bankruptcy & Debt, Antitrust & Trade Law and more
    Bio: Mark is a commercial litigator with over 25 years of experience in state and federal courts. His practice focuses on creditors rights, securities and antitrust. He has handled numerous high-profile matters involving Madoff, Enron, the Republic of ...
    Hach & Rose, LLP
    112 Madison Ave, 10th Fl, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 12 years
    Practice Areas:  Securities & Investment Fraud, Personal Injury, Employment & Labor and more
    Bio: John Blyth joined the firm in 2013 and practices in the fields of personal injury, elder abuse and neglect, mass torts, and complex civil litigation. He handles all types of catastrophic injury cases, including those involving motor vehicle crashe...
    Jonathan Honig

    PRO

    Feder Kaszovitz LLP
    845 Third Av., New York, NY
    Securities & Investment Fraud Lawyer Licensed for 43 years
    Practice Areas:  Securities & Investment Fraud, Litigation, Arbitration and more
    Lovell Stewart Halebian LLP
    500 Fifth Avenue Suite 58, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 47 years
    Practice Areas:  Litigation, Securities and Investment Fraud, Antitrust and Trade Law and more
    Carmel, Milazzo & DiChiara, LLP
    261 Madison Avenue, 9th Fl., New York, NY
    Securities & Investment Fraud Lawyer Licensed for 29 years
    Practice Areas:  Securities & Investment Fraud, Litigation, Arbitration and more
    Bio: I am an experienced commercial litigator who represents individuals and businesses in all phases of litigation, from inception through trial and appeal. I have over 18 years of experience, and represent clients in federal and state court, arbitrat...
    Iorio Law PLLC
    1 World Trade Center, 85th Floor, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 14 years
    Practice Areas:  Securities & Investment Fraud
    Bio: August M. Iorio is a dedicated investor advocate and the founder of Iorio Law PLLC, a New York-based law firm committed to recovering investment losses for clients nationwide. With a powerful combination of legal acumen and a deep understanding of...
    Wilson, Bradshaw & Cao, LLP
    211 East 43rd Street, 7th Floor, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 17 years
    Practice Areas:  Securities & Investment Fraud, Securities Offerings, Mergers & Acquisitions
    Bio: Mr. Bradshaw and his experienced legal team provides ongoing corporate counsel to small and mid-size OTC issuers as well as private companies looking to raise capital or go public on the over-the-counter markets, such as the OTCBB, OTCQB, OTCQX, a...
    Meissner Associates
    1430 Broadway, Suite 1802, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 37 years
    Practice Areas:  Securities & Investment Fraud, Lawsuits & Disputes, Arbitration and more
    Bio: Managing Member,Stuart D. Meissner, aggressively represents professionals, individuals, investors, employees and entities SOLEY in FINRA Arbitration and FINRA Regulatory Matters involving Investments and/or regulatory defense of brokers in the sec...
    Marie Anna DeForest

    PRO

    DeForest Koscelnik Yokitis & Berardinelli
    41 Madison Avenue, 25th Floor, Suite 2527, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 17 years
    Practice Areas:  Securities & Investment Fraud, Employment & Labor, White Collar Crime and more
    Bio: Marie focuses her practice primarily on commercial litigation and white collar defense matters. Her experience includes matters involving contractual disputes, trade secret and confidential information disputes, asbestos defense, professional liab...
    Miedel & Mysliwiec
    80 Broad Street, Suite 1900, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 32 years
    Practice Areas:  Securities & Investment Fraud, Criminal Defense, Civil Rights
    Anthony John Paduano

    PRO

    Paduano & Weintraub LLP
    1251 Avenue Of The Americas Ninth Floor, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 42 years
    Practice Areas:  Securities & Investment Fraud, Financial Markets and Services, Employment & Labor and more
    Richards Kibbe & Orbe LLP
    200 Liberty St, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 34 years
    Practice Areas:  Securities & Investment Fraud, Ethics & Professional Responsibility, Litigation and more
    Bio: James Walker concentrates in regulatory proceedings, internal investigations and representing law firms and lawyers in professional liability matters. He represents audit committees, directors, senior executives, law firms, lawyers and other profe...
    Imbesi Law P.C.
    450 Seventh Avenue, 14th floor, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 23 years
    Practice Areas:  Securities & Investment Fraud, Personal Injury, Divorce & Separation
    Bio: Mr. Imbesi is a founding partner of Imbesi Christensen. His areas of legal practice include FINRA arbitration, employment, consumer class action and entertainment law. Mr. Imbesi has represented more than four hundred (400) clients in FINRA arbitr...
     
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