Rockville Securities Lawyer, Virginia, page 2

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Includes: Securities Fraud , Securities Regulation, Shareholders' Rights

James Alfred Murphy

Securities Regulation, Corporate, Administrative Law
Status:  In Good Standing           Licensed:  58 Years

James A. Murphy

Securities Regulation, Corporate, Administrative Law
Status:  In Good Standing           Licensed:  73 Years

James Harfield Wilson

Oil & Gas, Securities, Business & Trade, Banking & Finance
Status:  In Good Standing           Licensed:  35 Years

Elbert Lin

Litigation, Energy, State Appellate Practice, Environmental Law Other, Securities Regulation
Status:  In Good Standing           

Kyle Riggs Kohler

Commercial Real Estate, Litigation, Occupational Safety & Health, Securities
Status:  In Good Standing           

Chris J Hagert

Banking & Finance, Securities, Corporate
Status:  In Good Standing           

Riaz Rahim Dhanani

General Practice
Status:  In Good Standing           

Riaz Rahim Dhanani

Securities, Business
Status:  In Good Standing           Licensed:  12 Years

Kenneth Dennis Sisk

Energy, Environmental Law Other, Civil Rights, Securities, Commercial Bankruptcy
Status:  In Good Standing           

Adrian Jean Kammerer

Commercial Real Estate, Securities Fraud , Bankruptcy
Status:  In Good Standing           

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Free Help: Use This Form or Call 800-943-8690

Member Representative

Call me for fastest results!
800-943-8690

Free Help: Use This Form or Call 800-943-8690

By submitting this lawyer request, I confirm I have read and agree to the Consent to Receive Messages from all messaging and voice technologies including Email, Text, Phone, Terms of Use, and Privacy Policy. Information provided is not privileged or confidential.

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SAMPLE LEGAL CASES

Andrews v. Browne

... In this appeal, we consider whether a transaction in which 100% of the stock of a closely held corporation was transferred to a group of three purchasers is regulated by the Virginia Securities Act, Code § 13.1-501 et seq. ... A. Similarity to Federal Securities Acts. ...

Bank of the Commonwealth v. Hudspeth

... FINRA is the successor to the National Association of Securities Dealers ("NASD") and is responsible for regulating FINRA members and enforcing arbitration under the Customer Code. See Karsner v. Lothian, 532 F.3d 876, 879 (DCCir.2008). ...

MAKOUI v. MAKOUI

... Attachment A disclosed the appraised value of husband's home. Attachments B through K listed numerous intangible assets, including husband's federal thrift savings plan, his pension, and various bank, credit union, and securities accounts. ...