Top best Securities Lawyers in ZIP 98134 | 1 available
1 Securities lawyers are available in ZIP code 98134 in Seattle, Washington. Average rating of these lawyers is 5/5 and 49% provide free consultation with average fees of $278 per hour.
Securities Lawyers Nearby Seattle 98134 (by distance)
Within 5 miles near you
(Seattle Area) 98104 1.7 miles
(Seattle Area) 98101 2.4 miles
(Seattle Area) 98121 2.7 miles
(Seattle Area) 98112 4.5 miles
Within 50 miles near you
(Olympia Area) 98501 48.3 miles
1 - 1
$157 - $398
38% - 60%
4.8 - 5.0 ★
FAQs - Securities Lawyers in 98134 city Seattle How many Securities lawyers actively serve residents of Seattle, Washington? Approximately 73 licensed attorneys focus on Securities across Seattle, Washington. Most matters are filed through the Washington District Court, where local rules shape timelines and filing steps. What is the typical hourly fee for Securities lawyers in Seattle, Washington? In Seattle, typical rates range from $197-$347 per hour for Securities. End-to-end case budgets frequently land between $3709 and $8594, depending on hearings and discovery. How long do Securities matters usually take in courts near Seattle? Securities cases in Seattle, Washington usually take around 4-10 months depending on complexity and the Washington District Court docket. Which local court most often hears Securities cases for people living in Seattle, Washington? Residents of Seattle typically see Securities filings handled by the Washington District Court. Proximity to helps with quick submissions and clerk communications. Do attorneys around offer a free first consultation for Securities? About 45% of firms near ZIP offer a free first consultation for Securities, so you can compare strategy and fit before committing.
1 Securities Lawyers Found Near You
For more than 35 years, my practice has focused on resolving challenging securities, franchise, banking and other complex civil cases on behalf of businesses and individuals.. Securities Fraud, Enforcement, Regulatory and Broker-Dealer Defense. Investors, broker-dealers, investment bankers, advisers, and registered representatives seek my representation in regulatory investigations and disciplinary actions brought by the U.S. Securities and Exchange Commission, Financial Industry Regulatory Authority (FINRA and NYSE), the New York Stock Exchange and the State of Washington Securities Division, including presenting Wells submissions and Central Registration Depository expungement requests. I often handle the prosecution and defense of customer claims against investment advisors, broker-dealers and registered representatives. These matters involve claims of unsuitability, churning, breach of fiduciary duty, fraud and misrepresentation, particularly before FINRA Dispute Resolution.. I was FINRA’s appointed arbitrator and mediator trainer for the Seattle panel of FINRA arbitrators from 1993-2003. In that capacity, I trained hundreds of arbitrators and mediators around the country. A substantial portion of my practice has been as a FINRA, National Futures Association and NYSE arbitrator and mediator.. Broker Recruitment Litigation. I frequently prosecute noncompetition, non-solicitation and trade secrets disputes for broker-dealers and registered representatives.. Securities and Complex Civil Litigation. I have considerable additional securities litigation experience in the areas of shareholder derivative action, directors’ and officers’ liability, insider trading, corporate governance and internal investigations, mortgage-backed securities and stock option disputes.. Franchising and Related Disputes. I represent franchisors advising on business, regulatory and growth strategies, and defend franchisors in regulatory investigations and lawsuits. I advise franchisees on their rights and defend them in franchise termination matters.