San Diego Securities Lawyer, California

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Includes: Securities Fraud , Securities Regulation, Shareholders' Rights

James  Swiderski Lawyer

James Swiderski

VERIFIED
Lawsuit & Dispute, Bankruptcy & Debt, Securities Fraud , Consumer Rights, Power of Attorney
Litigation and Bankruptcy

Mr. Swiderski has been licensed to practice in California since 1996 and helps clients who need lawsuit & dispute, bankruptcy, real estate, and other ... (more)

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800-657-1591

Gordon G. Kaplan

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

Michelle L. Jacko

Family Law, Securities, Corporate, Contract
Status:  In Good Standing           Licensed:  20 Years

Jennifer Helen Zorrilla

Disability, Civil Rights, Securities Regulation, Administrative Law
Status:  In Good Standing           
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Marc Masataro Umeda

Securities
Status:  In Good Standing           Licensed:  21 Years

Michael James Nicoud

Securities
Status:  In Good Standing           Licensed:  9 Years

Kevin Andrew Seely

Whistleblower, Securities
Status:  In Good Standing           Licensed:  21 Years

Nichole Tara Browning

Securities, Merger & Acquisition
Status:  In Good Standing           Licensed:  12 Years

Jay Nabil Razzouk

Securities
Status:  In Good Standing           Licensed:  11 Years

Felipe Javier Arroyo

Securities
Status:  In Good Standing           Licensed:  27 Years

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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 Email, Phone, Text Messages, Terms of Use, and Privacy Policy. Information provided may not be privileged or confidential.

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SAMPLE LEGAL CASES

Amtower v. Photon Dynamics, Inc.

... Plaintiff Richard Amtower, formerly the president of CRT, alleged, among other things, that certain officers and directors of Photon violated section 11 of the federal Securities Act of 1933 (15 USC § 77k(a), hereafter section 11), breached their fiduciary duty, and misrepresented ...

Wells Fargo Bank, NA v. Superior Court

... (plaintiffs). The petition raises the issue of whether the Securities Litigation Uniform Standards Act of 1998 (Pub.L. No. 105-353 (Nov. 3, 1998) 112 Stat. 3227) (SLUSA) precludes plaintiffs' class action complaint. We conclude that it does. ...

Valentine Capital Asset Management, Inc. v. Agahi

... VCAM and VWM are investment advisor entities regulated by the Securities and Exchange Commission (SEC). Neither VCAM nor VWM is a member of FINRA, the self-regulatory organization for securities broker-dealers and ...