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Securities & Investment Fraud lawyers in Illinois Adam Marquardt to Eli Kay-Oliphant

Explore Illinois attorneys like Adam Marquardt, Alan Wolper, Alexander Silverberg, Andrew Polovin, Andrew Stoltmann, Auste Graham, Benjamin Galea, and Eli Kay-Oliphant. in cities like Chicago, Deerfield, Chicago, Chicago and Chicago. These attorneys specialize in Securities & Investment Fraud in Zip codes like 60613, 60606, 60606.

Adam Marquardt

Firm: Marquardt Law Office LLC
4311 N Ravenswood Avenue , Chicago , Illinois 60613
Practice Areas: Securities & Investment Fraud
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.
Contact: Not Available

Brian Greene

Firm: WINSTON & STRAWN LLP
35 West Wacker Drive , Chicago , Illinois 60601
Practice Areas: Securities & Investment Fraud
Contact: Not Available

Douglas Hyman

Firm: Lewitas Hyman PC
161 N. Clark Street , Chicago , Illinois 60601
Practice Areas: Securities & Investment Fraud
For over 25 years Doug Hyman has been representing investors, brokerage firms, registered representatives, investment advisor representatives and RIAs in various types of matters relevant to the financial services industry, both in the context of general counseling and in connection with representing clients nationwide in arbitrations and in state/federal courts.. His practice focuses on representing clients in the following types of matters:. Doug is also committed to serving his profession and community. For many years he has served as Treasurer for the Association of Securities and Exchange Commission Alumni Association, a non-profit headquartered in Washington D.C. that provides scholarships to law students and SEC staff. He also supports non-profits in his home of Oak Park, Illinois. He currently serves on the Board of Directors for the Oak Park Education Foundation, and for many years he served as Treasurer for Oak Park’s children’s museum, known locally as Wonder Works.
Contact: Not Available

Deanna Besbekos-Lapage

Firm: Deanna Besbekos-LaPage
Willis Tower, 233 S. Wacker Dr., 84th Floor , Chicago , Illinois 60606
Practice Areas: Securities & Investment Fraud
Since 2008, Deanna has dedicated herself to helping investors recover their losses from brokerage firms and investment advisors. She focuses her practice on cases filed in FINRA arbitration, JAMS, and AAA. Deanna is also an advocate for those injured by vaccines, representing victims in the United States Court of Federal Claims through the Vaccine Injury Compensation Program. Deanna graduated Cum Laude from The John Marshall Law School in Chicagograduated Cum Laude from the University of Illinois-Chicago with a B.A. in Psychology. She is admitted to practice law in the State of Illinois, the U.S. District Court for the Northern District of Illinois, and the United States Court of Federal Claim.
Contact: Not Available

Daniel Fallon

Firm: Chapman and Cutler, LLP
Union Station Tower 320 S. Canal , Chicago , Illinois 60606
Practice Areas: Securities & Investment Fraud
Contact: Not Available

Alan Wolper

Firm: Ub Greensfelder LLP
200 W Madison St Ste 3300 , Chicago , Illinois 60606
Practice Areas: Securities & Investment Fraud
Contact: Not Available

Christopher Manning

Firm: Burke, Warren, MacKay & Serritella, P.C.
330 North Wabash Avenue , Chicago , Illinois 60611
Practice Areas: Securities & Investment Fraud
Contact: Not Available

Auste Graham

Firm: Alto Ingredients, Inc.
1300 S 2nd St , Pekin , Illinois 61554
Practice Areas: Securities & Investment Fraud
Contact: Not Available

Andrew Stoltmann

Firm: Stoltmann Law Offices PC
10 S La Salle St Ste 3500 , Chicago , Illinois 60603
Practice Areas: Securities & Investment Fraud
Andrew Stoltmann, attorney and investor advocate, exclusively concentrates his practice in representing investors who are the victims of investment fraud. He has represented over one thousand individuals in lawsuits and securities arbitration actions against brokerage firms like Merrill Lynch, Morgan Stanley Dean Witter, Wachovia, Linsco, Prudential, Baird, Edward Jones, AG Edwards and Smith Barney and has tried approximately 80 cases (please see Stoltmann Arbitration Awards for some of his decisions). Previous to opening the Stoltmann Law Offices P.C. he was a partner in a law firm concentrating its practice in the representation of investors in lawsuits, arbitration claims and class actions against brokerage firms. Mr. Stoltmann is currently an adjunct securities law professor at Northwestern University School of Law in Chicago.. Mr. Stoltmann was the Editor-In-Chief of the PIABA (Public Investor Arbitration Bar Association) Bar Journal, a law journal for the national association of securities attorneys who represent investors in claims against brokerage firms and stockbrokers, from 2001 through 2005. Mr. Stoltmann is also the co-author of the book “Investor Rights for the Year 2000 and Beyond.” He was voted an Illinois legal Rising Star from 2008 through 2012 and voted a 2014 Super Lawyer by his legal peers. After graduating from the University of Wisconsin (Madison) with a Bachelor of Business Administration degree, Mr. Stoltmann worked as a licensed stockbroker for Olde Discount and Merrill in law school at DePaul University, Mr. Stoltmann clerked at the Chicago NASD Dispute Resolution office, where 95% of securities arbitration cases are decided.
Contact: Not Available

Benjamin Galea

Firm: Dla Piper LLP (Us)
444 W Lake St Ste 900 , Chicago , Illinois 60606
Practice Areas: Securities & Investment Fraud
Contact: Not Available

Carl Volz

Firm: Katten Muchin Rosenman LLP
525 West Monroe Street , Chicago , Illinois 60661
Practice Areas: Securities & Investment Fraud
Contact: Not Available

Chad Diehl

Firm: Katten Muchin Rosenman LLP
525 West Monroe Street , Chicago , Illinois 60661
Practice Areas: Securities & Investment Fraud
Contact: Not Available

Courtney Hoffmann

Firm: Sidley Austin LLP
1 S Dearborn St , Chicago , Illinois 60603
Practice Areas: Securities & Investment Fraud
Contact: Not Available

David O'Toole

Firm: Braganca Law LLC
5250 Old Orchard Rd Ste 300 , Skokie , Illinois 60077
Practice Areas: Securities & Investment Fraud
Contact: Not Available

Andrew Polovin

Firm: Bartlit Beck Herman Palenchar & Scott LLP
54 West Hubbard Street , Chicago , Illinois 60610
Practice Areas: Securities & Investment Fraud
Contact: Not Available

Debra Miller

588 W Hawthorne # 3 , Chicago , Illinois 60657
Practice Areas: Securities & Investment Fraud
Contact: Not Available

Alexander Silverberg

Firm: Amgen Inc.
1 Horizon Way , Deerfield , Illinois 60015
Practice Areas: Securities & Investment Fraud
Contact: Not Available

Edward Berk

Firm: WINSTON & STRAWN LLP
35 West Wacker Drive , Chicago , Illinois 60601
Practice Areas: Securities & Investment Fraud
Contact: Not Available

Edward Schwartz

Firm: McGuireWoods
77 West Wacker Drive Suite 4100 , Chicago , Illinois 60601
Practice Areas: Securities & Investment Fraud
Contact: Not Available

Eli Kay-Oliphant

225 W Washington St Ste 2200 , Chicago , Illinois 60606
Practice Areas: Securities & Investment Fraud
Contact: Not Available
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