Top best Securities Lawyers in Cleveland | 176 available
Compare reviews, case statistics, faqs among 176 Securities lawyers available in Cleveland, Ohio and avail free consultations.
105 - 176
$167 - $529
37% - 65%
3.3 - 3.7 ★
176 Securities Lawyers Found Near You
Paul focuses his practice on employment and family law, civil and business litigation and criminal defense. Paul's drive for being a lawyer is based on his focus to assist clients through difficult times and resolve issues efficiently. His understanding that lawsuits and litigation are stressful is why he gives each client the attention they deserve. Paul is currently a member of:. To reach Paul, please e-mail him at or call him at.
Mr. Kunselman has proven himself a steady, thoughtful, and responsive client advocate. As a litigator, he has briefed and argued in Ohio Common Pleas and Appellate Courts as well as in Federal District Courts and the Sixth Circuit Court of Appeals, and he has worked on complex litigation on behalf of a wide range of corporate clients. His transactional experiences include intellectual property protection, lease and operative agreement formation, public and private offerings, asset sales, and creditor's rights. Combining a strong academic foundation in economics and business with proven success in corporate law, he provides valued insight and sound strategies to clients at every stage of the legal process. He joined Miller Goler Faeges Lapine LLP in 2001.
Molly is an experienced attorney with expertise in advising businesses on corporate, mergers and acquisitions, securities, and and banking matters. Over the course of Molly's career, she has represented a top 25 bank and a variety of public and private provides practical business and legal advice to her clients to help her clients grow their businesses and acheive strategic imperatives.
Joe is the Chair of Reminger’s Broker-Dealer and Investment Advisor Regulatory Compliance and Enforcement Practice Group, and a senior member of the Financial Services, Securities Litigation, Commercial Litigation and Estates, Trusts and Probate Litigation groups. In his nationwide practice, Joe represents public and private companies and individuals in the financial services, banking, brokerage, insurance, real estate, manufacturing, and construction industries in a wide array of cases involving breach of contract and fraud claims, issues relating to claims of unfair competition and trade secrets violations, and general tort litigation. His primary focus is complex securities litigation and arbitration, financial institution litigation, compliance consulting, regulatory investigations and inquiries, and broker-dealer liability defense, in which he represents broker-dealers, investment advisors, banks, and insurance companies and their licensed and registered personnel in claims involving allegations of professional misconduct. His background in business litigation and representing financial services providers also translates well into his experience in matters of estate and trust litigation.. With more than two decades of legal experience, Joe has earned a reputation throughout the state of Ohio and nationally as a litigator specializing in complex business disputes, commercial litigation, and alternative dispute resolution. He has been named repeatedly to the Ohio Super Lawyers list, a designation reserved for only 5% of Ohio lawyers, and has achieved Martindale-Hubbell's highest ranking, AV Preeminent®. According to feedback obtained during the rating process, Joe was described as an attorney who “excels at determining a strategy that is cost-effective for the client and then expertly executing that strategy through top-notch work product and advocacy,” and he was recognized as an “excellent lawyer with a wide range of experience and knowledge” who is “among the top defense counsel in the broker-dealer bar.”. Joe presently serves as the Chair of the Securities Litigation Committee of the American Bar Association’s Litigation Section and as the Chair of the Ohio State Bar Association’s Litigation Section, is a member of the Judicial Selection Committee of the Cleveland Metropolitan Bar Association, and serves on the Board of Directors of LifeAct of Northeast Ohio as a member of its Governance and Advocacy committees. He also writes and speaks frequently throughout Ohio and nationwide on topics of interest to litigators and financial services professionals, and has been an active member of the Defense Research Institute (DRI), the Ohio Association of Civil Trial Attorneys (OACTA) and the Securities Industry and Financial Markets Association (SIFMA).
Jay Salamon is a securities litigation and arbitration attorney with the firm McCarthy, Lebit, Crystal & Liffman, Co. LPA. Jay graduated with honors from Kent State University in 1977 and is a 1980 graduate of Case Western Reserve University School of Law. His exceptional research skills and his talent for drafting clear and persuasive legal arguments are core elements in our firm’s success.. Research and writing are essential parts of the practice of law, and the quality of a lawyer’s work in these areas often is pivotal to the outcome. Jay has for more than three decades devoted nearly 100% of his time to perfecting these skills. He researches complex and sometimes unresolved issues of law and writes most of the significant briefs and memoranda that are filed on our client’s behalf. Over the years, he frequently has been retained by other lawyers and law firms to assist them with strategy and to prepare written arguments in difficult legal matters.. Jay’s securities practice is devoted exclusively to the representation of investors injured by stockbrokers, investment advisors, insurance agents, and other investment professionals. He is rated AV® Preeminent™5.0 out of 5 by Martindale-Hubbell®. A long time member of the Public Investors Arbitration Bar Association (PIABA), Jay has authored articles for and served as a one of the original editors of the PIABA Bar Journal, a nationally distributed quarterly journal covering the practice of securities arbitration and issues related to the representation of injured investors.
In the course of his insolvency and bankruptcy practice, Rob has represented equity security holders, secured lenders, unsecured creditors' committees, trustees, receivers, and those who wish to purchase assets out of bankruptcy estates. His extensive experience in commercial litigation includes commercial foreclosures, contract litigation and recovering assets fraudulently transferred or concealed from creditors. Rob has also advised corporate officers and directors regarding fiduciary duties in both the non-profit and profit sectors.
I have represented hundreds of investors who have lost money in the stock market, Ponzi schemes and other securities schemes due to stockbroker misconduct, unsuitable investment advice and fraud. I primarily represent investors before the Financial Industry Regulatory Authority (FINRA) in arbitrations throughout the country.
After gaining extensive trial experience in both business and personal injury litigation, Hugh decided in 2000 to join Tony Hartman and Jay Salamon in the representation of injured investors. Hugh now heads the investors' rights litigation group at McCarthy, Lebit, Crystal & LIffman Co., LPA. He tries and arbitrates investment cases across Ohio and the entire United States. Hugh's finance background is helpful as it allows him to perform much of our techincal analysis of clients' cases.. Hugh is a member of the Board of Directors of the Public Investors Advocate Bar Association (PIABA), an international legal association composed of practitioners who represent investors in disputes with the securities industry. He is a past President of PIABA, and is Executive Vice President-Elect for the association.. Hugh regularly participates as both a moderator and panelist at PIABA’s national meetings and seminars and also has been a panelist at the annual nationally simulcasted PLI Securities Arbitration Program in New York City.
Experienced Securities attorney serving clients in Cleveland and surrounding areas.
Experienced Securities attorney serving clients in Cleveland and surrounding areas.
Experienced Securities attorney serving clients in Cleveland and surrounding areas.
Experienced Securities attorney serving clients in Cleveland and surrounding areas.
Experienced Securities attorney serving clients in Cleveland and surrounding areas.
Experienced Securities attorney serving clients in Cleveland and surrounding areas.
Experienced Securities attorney serving clients in Cleveland and surrounding areas.
Experienced Securities attorney serving clients in Cleveland and surrounding areas.