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  • New York, NY Securities and Investment Fraud Lawyers

    4,307 investment fraud lawyers serve New York, NY. Compare the best based on 801+ reviews and detailed profiles. Related practice areas and nearby towns in New York County are listed below.

    New York Has 4307 Securities and Investment Fraud Attorneys with 801 Reviews

    Ethan Andrew Brecher

    PRO

    Law Office of Ethan A. Brecher, LLC
    244 Fifth Avenue, Suite B241, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 34 years
    Practice Areas:  Securities & Investment Fraud, Employment & Labor, Litigation and more
    Bio: ETHAN A. BRECHER is the founding and managing partner of the Law Office of Ethan A. Brecher, LLC. Mr. Brecher has been practicing law for 29 years. Respect for the rule of law and justice, professionalism, civility and ethical conduct will guide M...
    Law Office of Christopher J. Gray, P.C.
    360 Lexington Ave. 14th Floor, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 28 years
    Practice Areas:  Securities & Investment Fraud, Class Action
    Bio: I have devoted my practice almost exclusively to representing investors in securities and commodoties cases since the year 2000, including as an associate at a prominent New York City class action firm and in my own firm. I have significant experi...

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    Timothy J. Dennin

    PRO

    Timothy J. Dennin, P.C.
    270 Madison Avenue, 9th Floor, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 41 years
    Practice Areas:  Securities & Investment Fraud, Arbitration
    Elena Fast

    PRO

    The Fast Law Firm, P.C.
    521 5th Ave, 17th Floor, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 12 years
    Practice Areas:  Securities & Investment Fraud, Criminal Defense, Federal Crime and more
    Bio: Elena represents individuals and corporations charged with the most serious federal crimes including wire/ mail fraud, securities and bank fraud, money laundering, violations of Foreign Corrupt Practices Act (FCPA), insurance fraud, federal tax vi...
    Gana Weinstein LLP
    345 Seventh Avenue, 21st Floor, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 19 years
    Practice Areas:  Securities & Investment Fraud, Litigation, Arbitration and more
    Bio: Adam Gana focuses on all aspects of investment fraud, investor protection, securities arbitration and complex commercial litigation.
    Stuart L Melnick

    PRO

    Law Offices Stuart L. Melnick LLC
    60 E 42nd St, Suite 4600, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 37 years
    Practice Areas:  Securities & Investment Fraud, Litigation, Business and more
    Top tier, aggressive and affordable legal representation.
    Herskovits PLLC
    305 Broadway, 7th Floor, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 28 years
    Practice Areas:  Securities & Investment Fraud, Lawsuits & Disputes, Arbitration
    Peter M. Spett, Esq.
    Of Counsel, Klein & Hill, 521 Fifth Avenue, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 31 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 ...
    Protass Law PLLC
    260 Madison Avenue, 22nd Floor, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 29 years
    Practice Areas:  Securities & Investment Fraud, Criminal Defense, Appeals
    Bio: Harlan Protass: Trusted CounselorA graduate of Cornell University and the Benjamin N. Cardozo School of Law (cum laude), where he was an editor of the Cardozo Law Review, Attorney Harlan Protass has – for more than 20 years – sought to protect 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...
    Ryan G. Blanch

    PRO

    Criminal Lawyer Group
    14 Wall Street, 20th Floor c/o Ryan Blanch, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 25 years
    Practice Areas:  Securities & Investment Fraud, Criminal Defense, White Collar Crime and more
    Criminal Defense Attorney I've handed high stakes criminal matters, big and small all over the country from Hawaii to New York in federal and state court.
    David S Rich

    PRO

    Law Offices of David S. Rich, LLC
    420 Lexington Avenue, Suite 300, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 30 years
    Practice Areas:  Securities & Investment Fraud, Employment & Labor, Litigation and more
    We expertly represent executives, professionals, and businesses in employment and labor matters.
    Gana LLP
    345 Seventh Avenue, 21st Floor, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 14 years
    Practice Areas:  Securities & Investment Fraud, Litigation, Class Action
    Bio: I am a partner with at Gana LLP and focus my practice on securities and commercial litigation matters. I have successfully represented hundreds of investors, business owners, and companies in litigation brought through arbitration, State, and Fede...
    Hach & Rose, LLP
    112 Madison Ave, 10th Fl, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 11 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...
    Miedel & Mysliwiec
    80 Broad Street, Suite 1900, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 31 years
    Practice Areas:  Securities & Investment Fraud, Criminal Defense, Civil Rights
    Eaton & Van Winkle, LLP
    3 Park Avenue, 16th Floor, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 36 years
    Practice Areas:  Securities & Investment Fraud, Arbitration, Class Action
    Bio: Lawrence Steckman has more than twenty five years experience litigating securities, RICO and business cases. In July, 2006, Super Lawyers Magazine, in its first New York edition, identified Mr. Steckman as one of New York’s “Super Lawyers” in secu...
    Tollefsen Law PLLC
    5 Penn Plaza, 23rd Floor, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 51 years
    Practice Areas:  Securities & Investment Fraud, Lawsuits & Disputes
    Bio: John is now retired.
    Zwerling, Schachter & Zwerling
    41 Madison Avenue, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 53 years
    Practice Areas:  Securities & Investment Fraud, Litigation, Antitrust & Trade Law
    Bio: Litigator in complex business litigation, primarily in the securities and antitrust fields, Mr. Isquith is a frequent writer in the field as well as gives lectures to other attorneys and law more detailed description of his background and accompli...
    Wolf Haldenstein Adler Freeman & Herz LLP
    270 Madison Avenue, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 40 years
    Practice Areas:  Securities & Investment Fraud, Class Action
    Lubiner, Schmidt & Palumbo, L.L.C.
    14 Wall St #6B, New York, NY
    Securities & Investment Fraud Lawyer Licensed for 47 years
    Practice Areas:  Securities & Investment Fraud
    Bio: David Schmidt has specialized in Securities arbitration litigation and regulation since beginning his career as a New York City prosecutor over 35 years ago. Over the years, Mr. Schmidt has handled hundreds of FINRA arbitrations, as well as cases ...
     
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