Top best Securities Lawyers Near me in ZIP 35203
Explore Securities lawyers near ZIP code 35203 in Birmingham, Alabama. Compare 69 experienced attorneys with reviews and ratings.
Securities Lawyers Nearby Birmingham 35203 (by distance)
Within 5 miles near you
(Birmingham Area) 35223 4.8 miles
41 - 69
$234 - $411
45% - 62%
4.3 - 4.7 ★
FAQs - Securities Lawyers in 35203 city Birmingham How many Securities lawyers actively serve residents of Birmingham, Alabama? Approximately 43 licensed attorneys focus on Securities across Birmingham, Alabama. Most matters are filed through the Alabama District Court, where local rules shape timelines and filing steps. What is the typical hourly fee for Securities lawyers in Birmingham, Alabama? In Birmingham, typical rates range from $183-$276 per hour for Securities. End-to-end case budgets frequently land between $2739 and $5979, depending on hearings and discovery. How long do Securities matters usually take in courts near Birmingham? Securities cases in Birmingham, Alabama usually take around 2-11 months depending on complexity and the Alabama District Court docket. Which local court most often hears Securities cases for people living in Birmingham, Alabama? Residents of Birmingham typically see Securities filings handled by the Alabama District Court. Proximity to helps with quick submissions and clerk communications. Do attorneys around offer a free first consultation for Securities? About 50% of firms near ZIP offer a free first consultation for Securities, so you can compare strategy and fit before committing.
69 Securities Lawyers Found Near You
View Profile
Jim Pool is a Shareholder and Chair of the firm's Health Care and Charitable Foundations -Tax Exempt Organizations practices. He represents all types of providers and payors nationwide, regarding health care regulatory, tax, compliance and other matters. He also represents a large number of tax exempt entities both inside and outside the health care industry. Jim is regularly consulted regarding a wide range of both health care and tax exempt issues. He is a frequent speaker on health care, corporate compliance and tax exempt entities topics.. Jim regularly counsels his clients regarding the following:. The Best Lawyers in America named Jim "Lawyer of the Year" for 2015 in Non-Profit/Charities Law. He has been listed by The Best Lawyers in America in Health Care Law and Non-Profit/Charities Law since 2006 and by Alabama Super Lawyers since 2012 for Health Care. He is rated AV-Preeminent by Martindale-Hubbell.. He received his J.D. from the University of Alabama School of Law. His additional graduate degrees include an S.T.M. and a M. Div. from Yale Divinity School. He received his B.A. cum laude from Birmingham-Southern College.
View Profile
I concentrate my practice in the areas of mergers and acquisitions, business planning and general business and corporate matters. In addition, I have extensive experience in the areas of commercial lending and finance, equipment leasing, commercial real estate and technology law. While my practice has historically focused on representation of closely-held businesses and start-up companies, I have also been counsel to public companies and venture capitalists.. In some jurisdictions, this site may be considered to be advertising. The hiring of a lawyer is an important decision that should not be based solely upon written information contained on this site or other written information about my qualifications and experience. In accordance with Alabama State Bar requirements, no representation is made that the quality of the legal services to be performed is greater than the quality of legal services performed by other lawyers.. The opinions expressed here are my personal opinions, and do not constitute legal advice. Content published here is not reviewed or approved by Baker Donelson before it is posted, and does not necessarily represent the view and opinion of Baker Donelson. I am expressing personal opinions and not legal opinions on this site, and disclaim any and all legal responsibility and liability for the personal comments posted on this site.. I am licensed to practice law only in Alabama and Georgia. The posts I make on this site are intended as general information only, are not provided as legal advice in connection with any specific case or matter, and do not create an attorney-client relationship.
View Profile
I am from a family of entrepreneurs. Building a business is in my blood. After graduating with a double majors in Economics and Politics from Washington and Lee University. I went on to receive my law degree from Cumberland School of Law. I am also one of the few attorneys in Birmingham with an M.B.A., which I received from the Brock School of Business at Samford University where I focused on entrepreneurship.. My enthusiasm for entrepreneurship motivated me to open The Watson Firm. I firmly believe that entrepreneurs will be the ones to take this country to new heights in the next decades. So I decided to prove my commitment to entrepreneurship, and I started my own business.. In my practice, I focus on counseling entrepreneurs on their businesses, getting their business started, helping them solve their problems, monetizing their tangible and intangible assets, and fighting for them inside and outside of the courtroom.
View Profile
David Guin handles general business & commercial litigation, securities fraud, shareholder disputes, institutional investors, stock broker arbitrations, antitrust and consumer class actions. Mr. Guin has been listed in publication, The Best Lawyers in America, for his securities litigation practice. He also has been selected as a "Super Lawyer" and has received an "AV" peer-review rating from Martindale-Hubbell. Guin is Alabama chapter president of the International Network of Boutique Law Firms () and is a director and past Executive Committee member of the National Association of Securities and Consumer Attorneys (). He has been a member of the Editorial Board of Class Action Reports, a bi-monthly Thomson/West publication reporting on all aspects of class action litigation. He is frequently published in law reviews and similar publications.In his spare time, Guin enjoys armchair theology, landscape photography, fingerstyle guitar, hiking and fly fishing. He serves as Board President for Cahaba Riverkeeper, and serves on the Board of 10/40 Connections.. Practice: Complex financial litigation - securities, shareholder disputes, antitrust, accounting, tax, class actions, and business mediation. No representation is made that the quality of legal services to be performed is greater than the quality of legal services performed by other attorneys.
View Profile
Craig Hymowitz is a seasoned financial crime compliance executive. As General Counsel of COR Clearing LLP, Craig was hired to oversee the company’s compliance and remediation obligations following their consent to a $1 million FINRA penalty. Before joining COR, Craig was hired as Associate General Counsel of Sterne, Agee & Leach, Inc. to advise their compliance department on the restructuring of its anti-money laundering policies and procedures and transaction monitoring system.. Prior to going in-house, Craig was a partner at Blank Rome LLP in their Litigation and White Collar Defense and Investigations departments. While there, he co-founded and co-chaired the firm’s Anti-Money Laundering and Economic Sanctions working group.. Craig brings extensive experience advising executive leadership and business units on the evolving anti-money laundering, economic sanctions, anti-bribery and corruption compliance risks. His practice is focused on representing regulated entities in their dealings with state and federal regulators, law enforcement and self-regulatory organizations. He has represented banks, broker-dealers, and other financial institutions prepare for and defend themselves during regular and for cause examinations, helped negotiate and respond to regulatory findings, defended firms during enforcement actions, and oversaw any required remediation.. With a background in investigative journalism, internal investigations, and risk management Craig is highly skilled at assessing the specific legal, contractual, and regulatory risks facing financial institutions. He has built a reputation as a collaborative advisor dedicated to assisting his clients identify, navigate, and mitigate potential legal risks before they become legal problems.. Craig received his J.D. from the University of Pennsylvania Law School and his B.A. cum laude from Cornell University. He is AV peer review rated and a Certified Anti-Money Laundering Specialist (CAMS).
View Profile
Experienced Securities attorney serving clients in Birmingham and surrounding areas.
View Profile
Experienced Securities attorney serving clients in Birmingham and surrounding areas.
View Profile
Experienced Securities attorney serving clients in Birmingham and surrounding areas.
View Profile
Experienced Securities attorney serving clients in Birmingham and surrounding areas.
View Profile
Experienced Securities attorney serving clients in Birmingham and surrounding areas.
View Profile
Experienced Securities attorney serving clients in Birmingham and surrounding areas.
View Profile
Experienced Securities attorney serving clients in Birmingham and surrounding areas.
View Profile
Experienced Securities attorney serving clients in Birmingham and surrounding areas.
View Profile
Experienced Securities attorney serving clients in Birmingham and surrounding areas.
View Profile
Experienced Securities attorney serving clients in Birmingham and surrounding areas.
View Profile
Experienced Securities attorney serving clients in Birmingham and surrounding areas.
View Profile
Experienced Securities attorney serving clients in Birmingham and surrounding areas.
View Profile
Experienced Securities attorney serving clients in Birmingham and surrounding areas.
View Profile
Experienced Securities attorney serving clients in Birmingham and surrounding areas.