Thomas J. Bonasera is a Partner in the Corporate Department of Dinsmore & Shohl, LLP and a member of the firm's Board of Directors. Mr. Bonasera focuses his practice on trust and estate administration and litigation, estate planning and closely...
Practice areas & skills: Securities & Investment Fraud, Corporate & Incorporation, Trusts, Probate, Estate Planning
Primary Practice Areas: Securities and Insurance Industry Litigation, Arbitration and Regulation Professional Experience: Mr. Concilla served as Legal Counsel to the Ohio Senate Majority from 1982 to 1985, was the District ...
Practice areas & skills: Securities & Investment Fraud, Securities Offerings, Business, Litigation
I have been representing consumers and investors in class actions and individual cases for almost 25 years. I also represent individuals who have been physically injured, and those who wish to file bankruptcy.
Practice areas & skills: Securities & Investment Fraud, Class Action, Litigation
I believe that the best service I can provide is to help clients meet their goals. My main focus is to help each client to achieve their goals in the most effective and cost efficient manner while staying within the law.
Practice areas & skills: Securities & Investment Fraud, Banking, Mergers & Acquisitions, Business
If you bought shares in a company whose value was intentionally exaggerated so you would make the investment, you may benefit from the services of a securities fraud lawyer (sometimes called an investment fraud attorney). Securities fraud is a white-collar crime that has increased as the Internet and stock markets have grown. One securities fraud example was the infamous Enron scandal, which allegedly involved top executives manipulating financial reports and filing false tax reports. While it is difficult for many investment fraud victims to recover their money, using a securities fraud lawyer will better your chances.