Top best Securities Lawyers in Saint Louis | 18 available
18 Securities lawyers are available in Saint Louis, Missouri. These lawyers are rated between 3.6/5 to 4/5 and 59% provide free consultation with fees ranging from $35 to $82 per hour.
10 - 18
$176 - $426
35% - 82%
3.6 - 4.0 ★
18 Securities Lawyers Found Near You
I have been an attorney in private practice for 25 years. I have represented several of the largest securities brokerage firms in the United States in the areas of securities disputes, employment litigation, intellectual property, trade secrets and real estate litigation. Along the way, I have tried and/or settled dozens of disputes resulting in millions in cash recoveries for my clients.. My practice also includes representation of individual investors in disputes with stock brokers and brokerage firms, hearings and settlements of which have resulted in large cash recoveries for several individual clients. I also represent homeowners in foreclosure defense and have successfully stopped many foreclosures in Missouri and handle a variety of family law issues including divorce, custody and modification.. For individual employees, I provide deeply experienced representation in discrimination, sexual harassment, wrongful termination and employment disputes, including disputes regarding non-compete agremeents, non-solicit agreements and intellectual property disputes.. I am a graduate of Ladue High School where I played on the golf and hockey teams. I am also a graduate of Saint Louis University where I was a member of the hockey team and Phi Delta Theta fraternity, and earned a B.S. in Business Administration, an M.S. in Finance and a Juris Doctor (J.D.).. I am a resident of Ladue, Missouri and have three children.
Donald Mehan, Jr. is an AV rated attorney who graduated from St. Louis University School of Law in 1980. Mr. Mehan has been with Moline & Mehan, LLC and its predecessor law firm since that time. His practice has principally focused on the areas of transactional securities law, commercial transactions, and general corporate law.Mr. Mehan recently fulfilled the mediation training requirement set out in Missouri Supreme Court Rule 17 at the University of Missouri School of Law, Center for the Study of Dispute Resolution.Mr. Mehan’s practice entails representation of broker/dealers and investment advisors in connection with registration and licensing issues before the Securities and Exchange Commission (SEC), Financial Industry Regulatory Authority (FINRA), the Missouri Division of Securities, the Missouri Department of Insurance, and the Missouri Department of Financial Institutions, as well as compliance and other issues faced in the day-to-day operations of brokerage firms and investment advisors. This aspect of Mr. Mehan’s practice includes more than 32 years of the prosecution and defense of customer complaints and other inter-brokerage disputes in arbitration for individual investors, local brokerage firms, and the local branches of national firms.Mr. Mehan’s experience also includes complex commercial matters, mergers and acquisitions, and purchases and sales of assets and securities ranging from relatively small dollar size to multi-million dollar transactions. With considerable success in representing small to medium sized businesses, he has counseled clients in corporate and other issues encountered daily and in the long term. Mr. Mehan has supplied legal advice in connection with private and public offerings of securities, including structuring the securities for offering, drafting appropriate prospectus and offering memoranda and securing compliance with federal and state registration and/or exemption requirements. His practice has also included compliance with the current reporting requirements as required under the Securities Exchange Act of 1934. His work relating to public company disclosure and reporting requirements has included not only the original disclosure requirements for a company’s offering of its securities, but also annual and quarterly required reports, as well as Form 8-K reporting requirements on a more current, on-going basis. This area of practice has expanded to advising directors and officers of companies to changing corporate governance rules and codes of business conduct and ethics.Mr. Mehan has also worked on behalf of the Securities Investor Protection Corporation (SIPC) as court-appointed attorney for the trustee in SIPC liquidation proceedings of brokerage firms.
Brad counsels and represents companies and entrepreneurs in a broad range of corporate and real estate transactions, with extensive experience in the following areas: (i) new business formation, funding and strategy; (ii) business succession, mergers, acquisitions and divestitures; (iii) private equity and venture capital transactions; (iv) general business counseling; (v) drafting and negotiating all types of commercial contracts; (vi) structuring, negotiating and documenting credit facilities, loans and other financing arrangements; and (vii) all aspects of commercial real estate transactions, including the acquisition, financing, development, sale, and leasing of retail, office, hotels and other commercial properties.. Brad has experience with companies in a number of different industries, including manufacturing, distribution, construction, oil and gas, precision machining, hotels, restaurants, financial services, employment staffing, biomedical, life sciences, transportation, medical goods and services, software, technology, telecommunications and consumer goods. Brad is a founding member of Affinity Law Group, LLC.
Experienced Securities attorney serving clients in Saint Louis and surrounding areas.
Experienced Securities attorney serving clients in Saint Louis and surrounding areas.
Experienced Securities attorney serving clients in Saint Louis and surrounding areas.
Experienced Securities attorney serving clients in Saint Louis and surrounding areas.