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Securities Law Lawyers and Attorneys

132 securities law attorneys are listed in this directory. Pick your state to see the cities where they practice, or go straight to a large city below.

Browse Securities Law Lawyers by State

Each state page lists local attorneys and the cities where they work.

Securities Law Lawyers in Top Cities

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Rachael F. Gaudet

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909 Poydras Street, New Orleans, Louisiana, 70112

Practice Areas : Business Law

909 Poydras Street, New Orleans, Louisiana, 70112
Scott C. Cox

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600 West Main Street, Louisville, Kentucky, 40202

Practice Areas : Securities Law

600 West Main Street, Louisville, Kentucky, 40202
Braden Perry

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2000 Shawnee Mission Parkway, Mission Woods, Kansas, 66205

Practice Areas : Securities Law

2000 Shawnee Mission Parkway, Mission Woods, Kansas, 66205
Michael Thompson

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332 S. Linn St., Suite 28, Iowa City, Iowa, 52240

Practice Areas : Bankruptcy

332 S. Linn St., Suite 28, Iowa City, Iowa, 52240
Nicholas A. Podlaski

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110 W. Berry St., Fort Wayne, Indiana, 46802

Practice Areas : Family Law

110 W. Berry St., Fort Wayne, Indiana, 46802
Marcus Anthony Heminger

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215 E Berry St, Fort Wayne, Indiana, 46802

Practice Areas : Business Law

215 E Berry St, Fort Wayne, Indiana, 46802
Keith L Griffin

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9450 North Meridian Street, Indianapolis, Indiana, 46260

Practice Areas : Securities Law

9450 North Meridian Street, Indianapolis, Indiana, 46260
Kevin A. Hogle

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1303 W State St, Boise, Idaho, 83702

Practice Areas : Estate Planning

1303 W State St, Boise, Idaho, 83702
Cheryl Allaire

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120 2nd Avenue North, Ketchum, Idaho, 83340

Practice Areas : Business Law

120 2nd Avenue North, Ketchum, Idaho, 83340
Brian J. Bean

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2005 Ironwood Pkwy, Ste. 201, Coeur d'Alene, Idaho, 83814

Practice Areas : Estate Planning

2005 Ironwood Pkwy, Ste. 201, Coeur d'Alene, Idaho, 83814

Securities attorneys work on capital raising and on what happens when it goes wrong: private placements and exempt offerings, registration statements and public offerings, ongoing reporting obligations, broker-dealer and investment adviser regulation, SEC and state enforcement, FINRA arbitration and shareholder litigation.

Compliance is the cheap part of this practice and enforcement is the expensive one. Most disputes trace back to disclosure — what investors were told, what they were not, and what the documents actually said.

Before you hire

  • Raising money from investors triggers securities law even for small private companies. Ask which exemption you are relying on before you accept a cheque.
  • If a regulator has made contact, get counsel before responding. Informal inquiries become formal investigations.
  • Investors with a claim against a brokerage will usually be in FINRA arbitration rather than court — ask about that forum specifically.

Stockbroker and investment fraud, white collar crime and business law cover related matters.