• Find a Lawyer
  • Securities / Investment Fraud Attorney
  • Dist. of Columbia Securities and Investment Fraud Lawyers

    There are 1,230 investment fraud lawyers in Dist. of Columbia. To help you make the best choice, Avvo has curated information on education, work experience and languages. Combine this with 133 real reviews to determine the best attorney for your needs.

    Narrow Results by City

     

    Dist. of Columbia Has 1230 Securities and Investment Fraud Attorneys with 133 Reviews

    R. Scott Oswald

    PRO

    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 28 years
    Practice Areas:  Securities & Investment Fraud, Wrongful Termination, Employment & Labor and more
    Employment Lawyer and Trial Attorney
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 38 years
    Practice Areas:  Securities & Investment Fraud, White Collar Crime, Federal Crime
    Bio: Dennis is an accomplished white collar criminal defense attorney who practices throughout the United States and internationally. He has been the recipient of many awards, including a American Bar Association award for Professional Merit. He has an...

    Ad

    Transform legal challenges into solutions.

    Connect now to review your situation.

    The Avvo Rating explained

    Let us know
    how we're doing!

    We'd like to hear from you!

    This anonymous survey will take no more than 1–2 minutes to complete.

    Your feedback will be used to improve Avvo and provide better support to people with legal needs like yours.

    START THE SURVEY

    The Avvo Rating explained

    David Yerushalmi

    PRO

    5.011 reviews
    This is an aggregated review score of Avvo and Lawyers.com reviews.
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 41 years
    Practice Areas:  Securities & Investment Fraud, Lawsuits & Disputes, Constitutional and more
    Bio: Dick Morris in the video posted discusses the lawsuit Mr. Yerushalmi has brought on behalf of his client, Kevin Murray. Mr. Yerushalmi brought the lawsuit with the support from the Center for Security Policy, where he serves as General Counsel.
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 38 years
    Practice Areas:  Securities & Investment Fraud, White Collar Crime
    Bio: Julie Grohovsky is a former federal prosecutor whose practice focuses on cases brought under the qui tam provisions of the False Claims Act. An accomplished trial lawyer, Julie has investigated hundreds of cases, tried over forty cases to verdict,...
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 30 years
    Practice Areas:  Securities & Investment Fraud, Litigation, White Collar Crime
    Bio: Adriaen is a partner in the Litigation, Securities Enforcement, and Government Investigations & White Collar Crime practices. He focuses his practice on government investigations, criminal prosecutions, internal compliance issues, and a wide varie...
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 25 years
    Practice Areas:  Securities & Investment Fraud, Employee Benefits, Military Law and more
    Not yet reviewedReview Larry
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 53 years
    Practice Areas:  Securities & Investment Fraud
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 17 years
    Practice Areas:  Securities & Investment Fraud, Employment & Labor, Discrimination and more
    Bio: Honored by Super Lawyers as a “Rising Star” for five years running, Mr. Harrington has extensive experience representing private-sector and federal employees in cases that involve discrimination, retaliation, whistleblowing, contract disputes, wag...
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 41 years
    Practice Areas:  Securities & Investment Fraud, Litigation
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 31 years
    Practice Areas:  Securities and Investment Fraud
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 12 years
    Practice Areas:  Securities & Investment Fraud, Business, Financial Markets and Services and more
    Bio: For the past 20 years David Ferri has worked in Finance and Banking. Most recently as the Managing Director of Investments at an Investment Banking firm based in New York City. Additionally, he is a FINRA Dispute Resolution Arbitrator and holds se...
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 42 years
    Practice Areas:  Securities & Investment Fraud, Litigation, Arbitration
    Bio: Getting a call from FINRA or SEC Enforcement telling you that your work as a securities broker is under investigation could be the worst day of your life. You have worked hard for years building your business. Now, with one wrongful allegation you...
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 22 years
    Practice Areas:  Securities & Investment Fraud, Corporate & Incorporation, Mergers & Acquisitions
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 36 years
    Practice Areas:  Securities and Investment Fraud, Corporate and Incorporation, Financial Markets and Services
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 40 years
    Practice Areas:  Securities & Investment Fraud, Class Action, Litigation and more
    Bio: Stephen M. Kohn is widely recognized as one of the nation’s leading qui tam and whistleblower attorneys. He won the largest ever individual tax whistleblower reward/qui tam payment for UBS whistleblower Bradley Birkenfeld ($104 million reward), an...
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 33 years
    Practice Areas:  Securities & Investment Fraud, Corporate & Incorporation, Government
    Bio: Philip Khinda is an internationally recognized American lawyer and corporate adviser with over 25 years of experience guiding public and private companies, their boards, asset management firms and global financial institutions on risk management i...
    Not yet reviewedReview Hagen
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 17 years
    Practice Areas:  Securities & Investment Fraud, Mergers & Acquisitions, Corporate & Incorporation
    Bio: Hagen Ganem concentrates his practice in the areas of mergers and acquisitions, corporate governance, and general corporate and securities matters. Prior to joining Skadden, Mr. Ganem served as an attorney adviser in the SEC’s Division of Corporat...
    Frederick A Douglas

    PRO

    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 52 years
    Practice Areas:  Securities & Investment Fraud, Litigation, Appeals and more
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 25 years
    Practice Areas:  Securities & Investment Fraud, Securities Offerings, Business and more
    Bio: Mr. Jeff Smith is a highly experienced securities, tax, business, M&A, regulatory compliance, digital assets, capital markets, and FinTech attorney with over 26 years of experience strengthening the legal and compliance functions of financial serv...
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 41 years
    Practice Areas:  Real Estate, Securities and Investment Fraud, Litigation

    Additional Resources

    Additional User Resources

    Below, we’ve provided users with navigation to related Securities and Investment Fraud as well as common support documents.

    Resources for Attorneys and Law Firms

    Are you or your law firm looking for new opportunities to grow? Are you looking to take control of your profiles on Avvo to ensure your data is accurate and enable users to reach you? Take a look at the resources below to get started.

    × Filter & Sort
    Sort by Fees and Rates
    Filter By

    Choose one filter option below.

    Also speaks Also practice in
    Reset