Top best Securities Lawyers in ZIP 60613 | 2 available
2 Securities lawyers are available in ZIP code 60613 in Chicago, Illinois. Average rating of these lawyers is 4.2/5 and 63% provide free consultation with average fees of $345 per hour.
Securities Lawyers Nearby Chicago 60613 (by distance)
Within 5 miles near you
(Chicago Area) 60614 2.3 miles
(Chicago Area) 60610 3.7 miles
Within 10 miles near you
(Chicago Area) 60661 5.1 miles
(Chicago Area) 60602 5.2 miles
(Chicago Area) 60606 5.2 miles
(Chicago Area) 60601 5.2 miles
(Chicago Area) 60603 5.4 miles
(Chicago Area) 60604 5.6 miles
Within 25 miles near you
(Hinsdale Area) 60521 17.6 miles
Within 50 miles near you
(Hammond Area) 46320 25.3 miles
1 - 2
$233 - $457
42% - 84%
4.0 - 4.4 ★
FAQs - Securities Lawyers in 60613 city Chicago How many Securities lawyers actively serve residents of Chicago, Illinois? Approximately 18 licensed attorneys focus on Securities across Chicago, Illinois. Most matters are filed through the Illinois District Court, where local rules shape timelines and filing steps. What is the typical hourly fee for Securities lawyers in Chicago, Illinois? In Chicago, typical rates range from $223-$377 per hour for Securities. End-to-end case budgets frequently land between $3141 and $7336, depending on hearings and discovery. How long do Securities matters usually take in courts near Chicago? Securities cases in Chicago, Illinois usually take around 5-14 months depending on complexity and the Illinois District Court docket. Which local court most often hears Securities cases for people living in Chicago, Illinois? Residents of Chicago typically see Securities filings handled by the Illinois District Court. Proximity to helps with quick submissions and clerk communications. Do attorneys around offer a free first consultation for Securities? About 70% of firms near ZIP offer a free first consultation for Securities, so you can compare strategy and fit before committing.
2 Securities Lawyers Found Near You
Adam Marquardt is an attorney representing investors in securities litigation claims. He focuses on claims such as unsuitable investments, negligence, and fraud. Adam has a history of protecting investors and individuals. Adam spent time as a regulator at the Financial Industry Regulatory Authority, Inc. (FINRA), the primary securities regulator of broker-dealers and over 630,000 brokers. At FINRA, Adam helped protect investors by ensuring broker-dealers and their registered representatives complied with federal securities laws and stock exchange and FINRA rules. Before joining FINRA, Adam represented individuals in civil litigation and the government in whistle blower litigation involving tax fraud. Previously, Adam became a certified public accountant (CPA) and worked for several years as an accountant and financial auditor at a bank, Big Four CPA firm, and Fortune 500 company.
Experienced Securities attorney serving clients in Chicago and surrounding areas.