Securities & Investment Fraud lawyers in Ohio Allison Binkley to Robert Moran

Explore Ohio attorneys like Allison Binkley, Andrew Davalla, Angela Buerkle, Brendan McCarthy, Bryan Venesy, Carrie Benedict, Chad Kohler, and Robert Moran. in cities like Columbus, Columbus, Columbus, Columbus and Westlake. These attorneys specialize in Securities & Investment Fraud in Zip codes like 43215, 43215, 44145.

Allison Binkley

Firm: Squire Sanders (US) LLP
2000 Huntington Center , Columbus , Ohio 43215
Practice Areas: Securities & Investment Fraud

Andrew Davalla

Firm: Thompson Hine LLP
41 South High Street Ste 1700 , Columbus , Ohio 43215
Practice Areas: Securities & Investment Fraud
Avvo Rating: Rated 3.7 out of 5

Philip Vujanov

Firm: Chapman LLC
700 W St Clair Ave , Cleveland , Ohio 44113
Practice Areas: Securities & Investment Fraud
Avvo Review
“Absolutely wonderful attorney! Highly experienced and very hard working. Cannot recommend enough”
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Lawyers.com Review
“I am honored to endorse Phil Vujanov. I've had the pleasure of working with Phil and have consistently been impressed by his sharp intellect and tireless work ethic. What truly set…”
Avvo Rating: Rated 3.3 out of 5

Michele Hoza

Firm: Kohrman Jackson & Krantz P.L.L.
1301 East 9th Street , Cleveland , Ohio 44114
Practice Areas: Corporate , Securities , Securities & Investment Fraud
Avvo Rating: Rated 3.3 out of 5

Michael Wible

Firm: Thompson Hine
41 South High Street Suite 1700 , Columbus , Ohio 43215
Practice Areas: Securities , Securities & Investment Fraud
Avvo Rating: Rated 3.9 out of 5

Matthew Fornshell

Firm: Ice Miller
250 West Street, Suite 700 , Columbus , Ohio 43215
Practice Areas: Securities , Securities & Investment Fraud
Avvo Rating: Rated 4.7 out of 5

Marnie Lambert

Firm: Lambert Law Firm, LLC
4889 Sawmill Road , Columbus , Ohio 43235
Practice Areas: Business , Class Actions, Consumer Protection, Corporate , Insurance , Securities , Securities & Investment Fraud, Securities & Investment Fraud, Securities & Investment Fraud
Ms. Lambert is a 1992 graduate of the Pepperdine University School of Law in Malibu, California.  She has represented investors across the country in securities disputes with their brokerage firms in FINRA arbitrations and in court since 2005, handling hundreds of such cases from client intake through final arbitration hearing or trial.  Ms. Lambert's 23 years as a lawyer have largely been focused on the representation of consumers against "big business" and she would not have it any other way.When a person has suffered investment losses at the hands of a broker or brokerage firm, Ms. Lambert understands that he or she is going through one of the most difficult times of their life.  Therefore, she maintains regular and meaningful contact with her clients so that they are informed every step of the way.  Her no-nonsense approach to cases has earned her a reputation in the legal community and she is well respected by clients, co-counsel, opposing counsel, arbitrators and mediators alike.Ms. Lambert is licensed to practice law in the states of Ohio and California and in all United States District Courts in Ohio and California.  She is also a member of various local, state and national trial and bar associations, including the Public Investors' Arbitration Bar Association ("PIABA").  PIABA is a nationwide organization of securities lawyers that represent investors in disputes about the financial services industry and Ms. Lambert has served on the its Board of Directors since 2012.  She most recently held the position of President and she has also been Executive Vice President and Treasurer.
Avvo Review
“I'm over in Chicago and had a Dispute with an unscrupulous Financial Advisor. With Marnie's expert”
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Lawyers.com Review
“Marnie has an impressive ability to identify issues in a case and potential risks. Clients like having her as their attorney since she is very personable.”
Avvo Rating: Rated 3.6 out of 5

Jay Salamon

Firm: McCarthy, Lebit, Crystal & Liffman Co LPA
101 West Prospect Avenue , Cleveland , Ohio 44115
Practice Areas: Arbitration, Business , Civil , Insurance , Legal Malpractice, Securities , Securities & Investment Fraud
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.
Lawyers.com Review
“I endorse this lawyer. Strong understanding of litigation. Jay is known in legal community as a top-notch securities/litigation lawyer with a great law firm.”
Avvo Rating: Rated 3.0 out of 5

Jason Albin

Firm: Chapman LLC
700 W Saint Clair Ave Ste 200 , Cleveland , Ohio 44113
Practice Areas: Securities & Investment Fraud
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.
Avvo Review
“ommend this firm, especially Phil Vujanov. After reading the review after mine it's obvious this is”
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Lawyers.com Review
“I have had the pleasure of working with Jason on a number of complicated investment fraud and Ponzi scheme cases. I have been impressed with his diligence, attention to detail, and…”
Avvo Rating: Rated 4.7 out of 5

Hugh Berkson

Firm: McCarthy, Lebit, Crystal & Liffman Co Lpa
101 West Prospect Ave. , Cleveland , Ohio 44115
Practice Areas: Securities , Securities & Investment Fraud, Securities & Investment Fraud
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.
Avvo Rating: Rated 3.9 out of 5

Francis O'Keefe

Firm: Hahn, Loeser & Parks, LLP
200 Public Sq Ste 2800 , Cleveland , Ohio 44114
Practice Areas: Corporate , Mergers & Acquisitions, Securities , Securities & Investment Fraud
Avvo Rating: Rated 5.0 out of 5

David Meyer

Firm: Meyer Wilson Co., LPA
1320 Dublin Road , Columbus , Ohio 43215
Practice Areas: Securities & Investment Fraud
David P. Meyer is the founding principal of the Meyer Wilson law firm. The top-rated law firm is devoted exclusively to representing investors who have claims against their stockbrokers/investment advisors and prosecuting consumer class actions. With offices in Ohio, California and Michigan, Mr. Meyer has successfully represented approximately 1,000 individual and institutional investors across the country in claims of investment misconduct. He has also served as lead and co-lead class counsel in numerous consumer class actions. Meyer Wilson has recovered more than $350,000,000 for its clients.. Mr. Meyer is listed in the 2018 edition of The Best Lawyers in America ®. He has been recognized by Best Lawyers as a "Lawyer of the Year." He continues to receive the top rating of "AV Preeminent" by Martindale Hubbell and has been named a Super Lawyer since 2011.. Mr. Meyer has achieved jury awards, arbitration awards and settlements with a combined value of hundreds of millions of dollars on behalf of his clients. He has the honor of winning the largest jury verdict in Ohio's history, a jury verdict in excess of $260 million on behalf of 250 investors against Prudential Securities.. Mr. Meyer is a recognized authority on securities arbitration procedure and often serves as a guest lecturer on securities fraud and stockbroker malpractice. Bar associations regularly invite him to speak to attorneys at educational seminars. He also provides education to investor groups, accountants and other financial professionals concerning investor protection.. He can be reached via email at or by calling toll-free, .
Avvo Review
“out our situation.”
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Lawyers.com Review
“I have worked with David on a committee of the Columbus Bar Association and have seen his skill and legal knowledge as a business lawyer.”

Courtney Yeager

Firm: Meyer Wilson
1320 Dublin Rd , Columbus , Ohio 43215
Practice Areas: Securities & Investment Fraud

Chad Kohler

Firm: Meyer Wilson Co. LPA
1320 Dublin Road , Columbus , Ohio 43215
Practice Areas: Securities & Investment Fraud

Carrie Benedict

Firm: Keybank
127 Public Sq , Cleveland , Ohio 44114
Practice Areas: Securities & Investment Fraud
Avvo Rating: Rated 3.5 out of 5

Bryan Venesy

Firm: Barnes & Thornburg
41 S. High Street , Columbus , Ohio 43215
Practice Areas: Banking & Finance, Corporate , Real Estate , Securities & Investment Fraud

Brendan McCarthy

32676 Albion Dr , Avon Lake , Ohio 44012
Practice Areas: Securities & Investment Fraud

Angela Buerkle

Firm: Nationwide
1 Nationwide Plz , Columbus , Ohio 43215
Practice Areas: Securities & Investment Fraud
Avvo Rating: Rated 3.3 out of 5

Robert Moran

Firm: Collins Roche Utley & Garner
875 Westpoint Pkwy # 500 , Westlake , Ohio 44145
Practice Areas: Criminal Defense , General Practice, Probate , Securities & Investment Fraud
Avvo Rating: Rated 3.0 out of 5

Patrick Miller

Firm: Rauser and Associates
614 W Superior Ave Ste 950 , Cleveland , Ohio 44113
Practice Areas: Securities & Investment Fraud
Avvo Review
“Patrick Miller was an awesome attorney I recommend him to anyone out there filing for bankruptcy , a”
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Lawyers.com Review
“Patrick is an excellent communicator with his clients, and is very adept at problem-solving within their Chapter 13 reorganization cases. He is also a true professional, and a grea…”
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