Mapleton Securities Lawyers

Securities law attorneys understand the nuances of federal and state rules governing investment products like stocks and bonds. They can help industry actors ensure compliance with regulations or defend against lawsuits or enforcement actions, or they can help consumers bring claims based on alleged securities violations.

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Compare top rated Illinois attorneys serving Mapleton.
Thomas Howard
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Thomas Howard
Peoria, IL Securities Law Lawyer with 18 years of experience serving Mapleton
(833) 952-3111
456 Fulton St.
Ste. 404
Peoria, IL 61602
Securities, Business, Cannabis Law and Real Estate
Marquette University Law School
Securities, Business, Cannabis Law and Real Estate
Since obtaining my license in 2008, I have dedicated my career to representing numerous financial institutions, focusing on enforcing their security interests. Over the last decade, I have supported community banks through complex commercial workouts, dealing with sophisticated financial products. My litigation experience extends to contested contract cases based on various legal theories. I have been recognized as a Rising Star by Super Lawyers and an Emerging Lawyer by Leading Lawyers since 2015. My practice primarily involves representing secured creditors in all facets of commercial loan enforcement, from initiating commercial workouts to enforcing judgments. I frequently write on these subjects and...
Tyler Petersen
Peoria, IL Securities Law Lawyer with 27 years of experience serving Mapleton
(309) 497-3211
401 Main St
Peoria, IL 61602
Securities and Business
Securities and Business
Jason Bartell
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Jason Bartell
Bloomington, IL Securities Law Lawyer with 27 years of experience
(217) 352-5900
207 W. Jefferson St.
Bloomington, IL 309-807-5275
Securities, Agricultural, Business and Construction
Southern Illinois University - Carbondale
Securities, Agricultural, Business and Construction
Grant Gulovsen
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Grant Gulovsen
Galesburg, IL Securities Law Attorney with 28 years of experience
(309) 377-5673
PO Box 178
Galesburg, IL 61402
Securities, Business, Communications and IP
University of Illinois College of Law
Securities, Business, Communications and IP
Grant Gulovsen, Esq. has been advising and representing technology startups since late 2017. The work he regularly performs in this role includes the following: • Managing clients’ day-to-day legal operations (e.g., corporate filings, SEC filings, USPTO filings, drafting and negotiating employment agreements, software license agreements, NDAs, etc.) • Handling compliance and regulatory questions/issues as they arise, including communicating with U.S. regulators (and occasionally regulators in other jurisdictions such as the FCA in the U.K. as appropriate); • Managing relationships with outside counsel for issues that are outside his wheelhouse (especially in non-U.S. jurisdictions); and • Constantly researching laws and regulations in the U.S. and...
Thomas F. Koester
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Thomas F. Koester
Champaign, IL Securities Law Attorney with 44 years of experience
(217) 337-1400
801 W Springfield Ave
Champaign, IL 61820
Securities, Business, Medical Malpractice and Nursing Home
Drake University Law School
Securities, Business, Medical Malpractice and Nursing Home
Faye E. Jones
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Faye E. Jones
Champaign, IL Securities Law Lawyer with 44 years of experience
(217) 265-4524
504 East Pennsylvania Avenue
Champaign, IL 61820
Securities
Nova Southeastern University
Securities
Michael Morehead
Springfield, Illinois Securities Law Attorney with 41 years of experience
(217) 467-4915
400 South Ninth Street
Springfield, ILLINOIS 62701
Securities and Criminal
Saint Louis University School of Law
Securities and Criminal
Robert Nabeeh Collier
MOLINE, IL Securities Law Attorney with 19 years of experience
(713) 446-2923
1 JOHN DEERE PL
MOLINE, IL 61265
Securities, Bankruptcy, Business and Communications
Texas Southern University Thurgood Marshall School of Law
Securities, Bankruptcy, Business and Communications
Anna Marie Dempsey
CHAMPAIGN, IL Securities Law Lawyer with 34 years of experience
(217) 378-8814
1901 FOX DRIVE
CHAMPAIGN, IL 61820
Securities, Administrative and Business
University of Kansas School of Law
Securities, Administrative and Business
Patrick Mohan
Decatur, IL Securities Law Attorney
(217) 421-2254
2200 E Eldorado St
Decatur, IL 62521
Securities and Business
Securities and Business
Celiza (Lisa) Bragança
Claimed Lawyer ProfileOffers Video ConferencingSocial Media
(847) 906-3460
1100 Central Ave
Unit G
Wilmette, IL 60091
Free Consultation Wilmette, IL Securities Law Attorney with 33 years of experience Securities, Business and White Collar Crime
University of Illinois Chicago School of Law
Wilmette, IL Securities Law Attorney with 33 years of experience
Securities, Business and White Collar Crime
Free Consultation
Lisa Bragança protects individuals and businesses from being bilked by Wall Street and bullied by regulators. She knows how to get important information to securities regulators early, before they have reached a decision on whether to charge and what to charge. Lisa served as a Branch Chief in the Division of Enforcement of the Chicago Office of the Securities & Exchange Commission, where she handled investigations of accounting fraud, Ponzi schemes, insider trading, churning, and unsuitability. While at the SEC, Lisa collaborated with the federal criminal prosecutors in securities fraud investigations at major corporations. Since leaving the SEC, Lisa has...
Adam Gana
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(800) 810-4262
3706 N Greenview Ave
#100
Chicago, IL 60613
Free Consultation Chicago, IL Securities Law Lawyer with 20 years of experience Securities, Appeals, Business and Insurance Claims
New York Law School
Chicago, IL Securities Law Lawyer with 20 years of experience
Securities, Appeals, Business and Insurance Claims
Free Consultation
Adam Gana serves as the managing partner of the law firm of Gana Weinstein LLP. His practice focuses on all aspects of securities arbitration. Mr. Gana's experience includes securities arbitration and litigation in various dispute resolution forums including JAMS, NFA and FINRA and litigation in both State and Federal Courts. As lead counsel, Mr. Gana has tried more than forty cases to verdict before the state and federal trial and appellate courts, AAA, and has settled hundreds more cases through mediation and direct negotiation.

Mr. Gana was named in the New York Super Lawyers Rising Stars® for eight straight years (an...
Joe Wojciechowski
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(312) 332-4200
5117 Main St
#9
Downers Grove, IL 60515
Free Consultation Downers Grove, IL Securities Law Lawyer with 17 years of experience Securities, Arbitration & Mediation, Consumer and Stockbroker Fraud
The John Marshall Law School
Downers Grove, IL Securities Law Lawyer with 17 years of experience
Securities, Arbitration & Mediation, Consumer and Stockbroker Fraud
Free Consultation
I have been a licensed attorney since November 2009 and been with Stoltmann Law Offices since March 2005. Prior to Stoltmann Law Offices, I had a short stint as a paralegal with a Chicago securities defense firm. I am currently managing partner at Stoltmann Law Offices and am responsible for the day to day operations of the firm, docket and case management. Personally, I handle all aspects of case management from potential client/case intake to trying the case. I have successfully briefed, argued, and defeated numerous motions to dismiss before dozens of FINRA arbitration panels and courts of law.

I have...
Sara Hanley
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Sara Hanley
Downers Grove, IL Securities Law Lawyer with 18 years of experience
(312) 332-4200
5117 Main St
#9
Downers Grove, IL 60515
Free Consultation Securities and Stockbroker Fraud
Nova Southeastern University
Securities and Stockbroker Fraud
Free Consultation
Attorney Hanley has focused her practice on representing investors nationwide who have lost their savings and retirement funds as a result of their brokerage accounts being mishandled. Attorney Hanley represents investors in claims against their brokers, broker dealers, investment advisors, financial advisors, and insurance companies. Attorney Hanley is experienced in providing representation for investors who have been the victims of financial fraud, negligence and unsuitable investments. Attorney Hanley has experience in prosecuting claims against the major Wall Street brokerage firms.

Attorney Hanley has extensive experience in the areas of securities litigation and arbitration, including securities class actions, numerous arbitrations...
Jacob Rheaume
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Jacob Rheaume
Chicago, IL Securities Law Lawyer with 6 years of experience
(312) 327-1052
150 South Wacker Drive
Suite 2900
Chicago, IL 60606
Free Consultation Securities, Business and Real Estate
Loyola University Chicago School of Law
Securities, Business and Real Estate
Free Consultation
Jacob Rheaume is a finance associate in Chicago, Illinois who represents institutional lenders in syndicated loan transactions.
Michael Duane Kennedy
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Michael Duane Kennedy
Chicago, IL Securities Law Attorney with 14 years of experience
(888) 637-5510
125 S. Wacker Dr., Suite 300
Chicago, IL 60606
Securities and Stockbroker Fraud
DePaul College of Law
Securities and Stockbroker Fraud
Michael D. Kennedy, a partner with The White Law Group, is a member of the Illinois and Chicago Bar Associations, as well as a member of the Public Investors Arbitration Bar Association (PIABA), an association of securities attorneys who dedicate their practices to the representation of investors defrauded by their financial professional or brokerage firm.

Mike’s practice is primarily dedicated to representing defrauded investors in arbitration cases before the Financial Industry Regulatory Authority (“FINRA”) in the pursuit of recovery of his clients’ investment losses. In his time with The White Law Group, Mike has represented more than 350 investors in...
Alexander N. Loftus
Claimed Lawyer ProfileOffers Video ConferencingSocial Media
(312) 899-6625
181 W Madison St
#4700
Chicago, IL 60602
Free Consultation Chicago, IL Securities Law Attorney with 16 years of experience Securities, Arbitration & Mediation, Business and Consumer
DePaul College of Law
Chicago, IL Securities Law Attorney with 16 years of experience
Securities, Arbitration & Mediation, Business and Consumer
Free Consultation
Business and Class Action Attorney – Righter of Wrongs

Alexander Loftus specializes in litigating business, intellectual property, commercial, employment, and class action cases and is passionate about fighting for the little guy in a failed business transaction.

Alexander has resolved a wide range of significant cases through mediation, arbitration, and trial, including claims arising from breach of contract, fraud, professional malpractice, defamation, business divorce, and shareholder derivative lawsuits. Alexander has handled appeals before the Seventh Circuit, Illinois Appellate Courts, U.S. Supreme Court, and represented Amicus Curiae before the Illinois Supreme Court. He is also admitted to practice in Illinois State Courts, Illinois...
Robert Clifford
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Robert Clifford
Chicago, IL Securities Law Attorney with 50 years of experience
(312) 899-9090
120 N La Salle St
Chicago, IL 60602
Free Consultation Securities, Medical Malpractice, Personal Injury and Products Liability
DePaul College of Law
Securities, Medical Malpractice, Personal Injury and Products Liability
Free Consultation
Robert A. Clifford is the founder and senior partner of Clifford Law Offices, a Chicago-based personal injury firm recognized for handling complex catastrophic injury and wrongful death litigation. Since establishing the firm in 1984, Clifford has led a team known for its depth of talent, substantial resources, and relentless advocacy for individuals and families harmed by negligence. Under his leadership, the firm has recovered over $5 billion in verdicts and settlements. Widely respected as a global leader in aviation litigation, Mr. Clifford has represented families in every domestic commercial crash since 1979. He currently serves as Lead Counsel in the federal...
Bill Cisar
Claimed Lawyer ProfileOffers Video ConferencingSocial Media
(925) 433-1461
1 E Erie St.
Suite 525-2623
Chicago, IL 60611
Free Consultation Chicago, IL Securities Law Lawyer with 13 years of experience Securities and Business
Phoenix School of Law
Chicago, IL Securities Law Lawyer with 13 years of experience
Securities and Business
Free Consultation
William (Bill) Cisar has 10+ years legal experience in handling domestic and international business contract matters. He has obtained an L.L.M. Master of Law degree specializing in Taxation from Arizona State University. Bill is licensed in the state of Illinois and works for clients throughout the United States. Bill Cisar has extensive experience with Startups, Commercial Contracts and Agreements, Merger and Acquisition, Equity Financing & Securities, Fintech & Cryptocurrency, SaaS, Tax Law & Strategies, Trademark & Copyright, IP, and Data Privacy. Having an attorney on your side willing to speak openly and directly about the liabilities and necessary documents you need to...
David A O'Toole
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David A O'Toole
Wilmette, IL Securities Law Attorney with 31 years of experience
(847) 906-3460
1100 Central Ave
Unit G
Wilmette, IL 60091
Free Consultation Securities, Business, Consumer and Stockbroker Fraud
University of Chicago
Securities, Business, Consumer and Stockbroker Fraud
Free Consultation
David O’Toole joined Bragança Law after spending 24 years as a senior staff attorney at the Federal Trade Commission’s Midwest Region in Chicago. A three-time graduate of the University of Chicago, where he received a B.A. in History (1984), an M.B.A. (1988) and a J.D. (1992, with honors), David began his legal career spending almost six years in private practice in Chicago and Washington, D.C., working on antitrust, white collar defense, and general commercial litigation. for twenty-four years. While at the FTC, David led teams that challenged companies for deceptive marketing involving dietary supplements and health products, operating as pyramid...
Adam J. Weinstein
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Adam J. Weinstein
Chicago, IL Securities Law Attorney with 15 years of experience
(800) 810-4262
3706 N Greenview Ave
#100
Chicago, IL 60613
Free Consultation Securities, Arbitration & Mediation and Business
New York Law School
Securities, Arbitration & Mediation and Business
Free Consultation
Andrew Stoltmann
Claimed Lawyer ProfileSocial Media
(312) 332-4200
5117 Main St
#9
Downers Grove, IL 60515
Free Consultation Downers Grove, IL Securities Law Lawyer with 27 years of experience Securities, Arbitration & Mediation, Consumer and Stockbroker Fraud
DePaul College of Law
Downers Grove, IL Securities Law Lawyer with 27 years of experience
Securities, Arbitration & Mediation, Consumer and Stockbroker Fraud
Free Consultation
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. 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...
Taher Kameli
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Taher Kameli
Chicago, IL Securities Law Lawyer with 30 years of experience
(312) 233-1000
17 N State Street #1700
Chicago, IL 60602
Free Consultation Securities, Business, Employment and Immigration
Washburn School Of Law and Washburn University School of Law
Securities, Business, Employment and Immigration
Free Consultation
I have been the founding partner of the Kameli Law Group, since 1996 and focuses on immigration and corporate law. I am also a strong advocate for international business and have devoted myself over the course of my career to the problems in our contemporary era of globalization. I am a proud member of the bar of Washington D.C., New York, the U.S. Supreme Court, and Illinois. Since 2009, I have been facilitating the creation of sustainable jobs in the United States with over 100 million foreign investments by the designated USCIS Regional Centers, under the EB-5 program. With creative solutions,...
George Thomas Dowd III
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George Thomas Dowd III
Chicago, IL Securities Law Attorney with 5 years of experience
(312) 854-8300
181 West Madison St, 47th Floor
Chicago, IL 60602
Securities
DePaul College of Law
Securities
I am an attorney who also offers consulting services related to the foreign exchange, futures, cryptocurrency, and metals markets. I hold a B.A. in Economics from the College of the Holy Cross and a J.D. from DePaul University College of Law. I am admitted to practice law in Illinois. In 2020 and 2021, I served on the Board of Directors of the Global Digital Asset & Cryptocurrency Association, and I am the primary author of "Digital Assets, Cryptocurrencies, and Blockchain" (IICLE, 2022). My other published works include "The Advantages of Forward Contracts with Standardized Delivery Dates" in China Money Magazine by...
Charles Mudd
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Charles Mudd
Chicago, IL Securities Law Attorney with 28 years of experience
(312) 964-5051
411 S. Sangamon Street
Suite 1B
Chicago, IL 60607
Securities, Arbitration & Mediation, Business and IP
Quinnipiac University School of Law
Securities, Arbitration & Mediation, Business and IP
Charles Lee Mudd Jr. is the founder and principal of Mudd Law, located in Chicago, Illinois, Park City, Utah, and Houston, Texas. He focuses his practice on a wide range of business legal issues, including transactional and litigation matters involving intellectual property, Internet law, and emerging technology. Mr. Mudd and his firm serve a diverse group of clients, including local, national, and international individuals and businesses. Mr. Mudd received a B.A. in philosophy and a Master of Arts in political science from Purdue University and then went on to earn his Juris Doctor from the Quinnipiac University School of Law....
Christopher  Lufrano
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Christopher Lufrano
Oak Park, IL Securities Law Lawyer with 14 years of experience
(800) 627-2179
818 Harrison Street
Suite 210
Oak Park, IL 60304
Free Consultation Securities, Arbitration & Mediation, Business and Stockbroker Fraud
Elisabeth Haub School of Law - Pace University
Securities, Arbitration & Mediation, Business and Stockbroker Fraud
Free Consultation
Christopher L. Lufrano is the managing attorney and principal of Lufrano Law, LLC and has extensive experience in matters involving securities investment disputes, regulatory defense, real estate law and business services. Mr. Lufrano is licensed to practice law in Illinois and New York, and often travels throughout the country to represent aggrieved investors in FINRA securities arbitrations where permitted under state law. Mr. Lufrano is a graduate of Boston University, where he majored in Business Management. Following college, Mr. Lufrano was employed by Morgan Stanley where he worked as...
James Oberholtzer
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James Oberholtzer
Chicago, IL Securities Law Attorney with 47 years of experience
(312) 765-7484
211 W. Wacker Drive
Suite 1200
Chicago, IL 60606
Free Consultation Securities, Business, Estate Planning and Tax
DePaul College of Law and Washington and Lee University School of Law
Securities, Business, Estate Planning and Tax
Free Consultation
James Oberholtzer has provided legal services to clients for over 35 years. He has provided legal representation to: Families. Estate planning, family wealth planning, wills and trusts, taxation of wills and trusts, guardianship and conservatorships, creation and administration of trusts, and probate of estates. Entrepreneurs. Closely held companies, family partnerships and individual entrepreneurs in formation and finance of enterprises, acquisitions and joint ventures, strategic planning and executive compensation, entity governance, integration of tax, legal and business objectives, protection of intellectual property and selection and supervision of local counsel. Senior Housing. Senior housing owners and operators...
Adam Marquardt
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Adam Marquardt
Chicago, IL Securities Law Attorney with 15 years of experience
(312) 450-0202
4311 N Ravenswood Avenue
Suite 313
Chicago, IL 60613
Free Consultation Securities, Arbitration & Mediation, Consumer and Stockbroker Fraud
The John Marshall Law School
Securities, Arbitration & Mediation, Consumer and Stockbroker Fraud
Free Consultation
Adam Marquardt is an attorney representing investors in securities litigation claims against financial professionals including brokers, investment advisors, and their firms. Unsuitable investments, negligence, and fraud are just a few of the possible claims. 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 regulating brokers, Adam represented individuals in civil...
Michael P Tomlinson
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Michael P Tomlinson
Chicago, IL Securities Law Attorney with 22 years of experience
(312) 715-8770
134 N. LaSalle Street
Suite 2250
Chicago, IL 60602
Securities, Arbitration & Mediation, Business and Stockbroker Fraud
Chicago-Kent College of Law, Illinois Institute of Technology
Securities, Arbitration & Mediation, Business and Stockbroker Fraud
For nearly seven years, Michael P. Tomlinson practiced law at a large national law firm. During that time, Mr. Tomlinson represented clients in all types of complex commercial litigation, including the following types of cases: Restrictive covenants (non-competition and non-solicitation) Trade secret misappropriation Securities litigation Securities enforcement actions Labor and employment law Statutory fraud (e.g., the Illinois Consumer Fraud and Deceptive Business Practices Act) Class action defense Uniform Commercial Code General contract and tort law Qui tam actions White collar crime Mr. Tomlinson also has experience in conducting internal investigations on behalf of both securities and health care clients. In addition to the litigation-related services listed above, Mr. Tomlinson provides advice to his...
Jawad I. Fitter
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Jawad I. Fitter
Chicago, IL Securities Law Lawyer
(312) 741-1073
150 S. Wacker Drive, Suite 2400
Chicago, IL 60606
Free Consultation Securities, Business, Collections and Trademarks
Securities, Business, Collections and Trademarks
Free Consultation
Fitter Law is a Subscription-based Law Firm for Business, founded in 2019 in Chicago, IL. The Law Firm's subscription plans include unlimited legal consultations, unlimited contract reviews, powerful legal resources, insight, guidance, and much more to all clients for one low monthly price.

Attorney Jawad Fitter is the founding member of Fitter Law, LLC. He represents clients in business negotiations, relationship development, and contracting. He has facilitated over $50M Dollars in business transactions.

In addition, he represents businesses and individuals in civil litigation from pre-litigation counseling through trial. Mr. Fitter has represented clients in complex trust litigation, tax litigation, and business...
D. Daxton White
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D. Daxton White
Chicago, IL Securities Law Attorney with 22 years of experience
125 S. Wacker Dr. Suite 300
Chicago, IL 60606
Securities, Arbitration & Mediation, Business and Stockbroker Fraud
Florida State University College of Law
Securities, Arbitration & Mediation, Business and Stockbroker Fraud
D. Daxton White is an AV rated attorney by Martindale Hubbell, the attorney rating service, indicating the highest rating for legal ability and ethics. He is a member of the Florida and Illinois Bar Associations, as well as the Indian River County Bar Association. He is also a member of the Public Investors Arbitration Bar Association (PIABA), an association of securities attorneys who dedicate their practices to the representation of investors defrauded by their financial professional or brokerage firm. Mr. White has also served on the PIABA Legislative Committee which attempts to advance the cause of investors through the use...
R. Tamara de Silva
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R. Tamara de Silva
Chicago, IL Securities Law Lawyer
110 N Wacker Drive
Suite 2500
Chicago, IL 60606
Free Consultation Securities, Appeals and White Collar Crime
Loyola University's School of Law
Securities, Appeals and White Collar Crime
Free Consultation
With over 20 years’ experience trading in the financial industry, few New York attorneys have the in-depth knowledge and insights possessed by Attorney R. Tamara de Silva. Serving clients in New York, Chicago, and London, she has earned a reputation for outstanding representation against even the most reputable businesses in the country. If you face issues involving whistleblowing, blockchain law, or white collar crimes, contact the Law Offices of R. Tamara de Silva today to schedule a free consultation and learn more about what to do next. Ms. de Silva has a background in both trading and blockchain technologies. You...
Allison Huebert
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Allison Huebert
Chicago, IL Securities Law Lawyer with 13 years of experience
(312) 705-7400
191 North Wacker Drive
2700
Chicago, IL 60606
Securities, Arbitration & Mediation, Business and Employment
University of Virginia School of Law and The University of Chicago Law School
Securities, Arbitration & Mediation, Business and Employment
My practice focuses on complex commercial litigation and arbitration. I represent clients in high-stakes, high-dollar disputes involving breach of contract, employment law, restrictive covenants, trade secrets, insurance coverage, securities disputes, class actions, and whistleblower claims. I have represented both plaintiffs and defendants before state and federal courts, and in domestic and international arbitration proceedings.
Andrew May
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Andrew May
Chicago, IL Securities Law Attorney with 30 years of experience
(312) 704-3400
151 N. Franklin Ave.
24th FL
Chicago, IL 60606
Free Consultation Securities, Arbitration & Mediation, Business and Stockbroker Fraud
DePaul University
Securities, Arbitration & Mediation, Business and Stockbroker Fraud
Free Consultation
Deborah Thomas Boye
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Deborah Thomas Boye
Chicago, IL Securities Law Attorney with 46 years of experience
(312) 602-4104
1 S Wacker Dr Ste 3910
Chicago, IL 60606
Free Consultation Securities, Administrative and Business
Notre Dame Law School
Securities, Administrative and Business
Free Consultation
Bruce Lewitas
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Bruce Lewitas
Chicago, IL Securities Law Lawyer with 34 years of experience
(312) 291-4600
161 N. Clark Street
Suite 1600
Chicago, IL 60601
Securities, Employment and Stockbroker Fraud
Chicago-Kent College of Law, Illinois Institute of Technology
Securities, Employment and Stockbroker Fraud
Bruce Lewitas has litigated financial services disputes for three decades, beginning his career as an Enforcement attorney for the United States Securities and Exchange Commission (SEC) and thereafter serving as both in-house and outside counsel representing both individuals and broker-dealers. Bruce has overseen thousands of matters involving customer disputes, employment matters, regulatory inquiries and internal investigations.

At Lewitas Hyman PC, our core values include putting the client first and providing cost-effective counsel coupled with professional and aggressive advocacy.
Doug Hyman
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Doug Hyman
Chicago, IL Securities Law Attorney with 31 years of experience
(312) 291-4600
161 N. Clark Street
Suite 1600
Chicago, IL 60601
Securities, Employment and Stockbroker Fraud
Securities, Employment and Stockbroker 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.

At Lewitas Hyman PC, our core values include putting the client first and providing cost-effective counsel coupled with professional and aggressive advocacy.

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...
Jonathan Linnemeyer
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Jonathan Linnemeyer
Lisle, IL Securities Law Lawyer with 19 years of experience
(630) 332-3600
1001 Warrenville Rd. STE 500
Lisle, IL 60532
Securities, Business, Construction and Real Estate
Northern Illinois University
Securities, Business, Construction and Real Estate
Jordan B Dorrestein
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Jordan B Dorrestein
St. Charles, IL Securities Law Lawyer with 16 years of experience
(630) 762-9081
2560 Foxfield Rd. Suite 200
St. Charles, IL 60174
Securities and Stockbroker Fraud
Northern Illinois University
Securities and Stockbroker Fraud
A creative and dynamic attorney, Jordan has recently returned to Illinois to join the litigation practice of Higgins & Burke after several years of practicing in Colorado. We are happy to have him aboard and pleased to announce this new addition to our practice. Prior to joining Higgins & Burke, P.C., Jordan was the lead associate attorney with the litigation practice of Goulart & Associates, P.C. in Boulder, Colorado. During that time, Jordan secured multiple favorable judgments and settlements for his clients in a wide array of legal matters including construction defect, real estate, life/viatical settlements, securities and commercial litigation. Leading up...
E Michael Ciesla
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E Michael Ciesla
Northbrook, IL Securities Law Attorney with 29 years of experience
(847) 412-1988
836 Skokie Blvd
Northbrook, IL 60062
Securities and Business
The John Marshall Law School
Securities and Business

Securities law attorneys understand the nuances of federal and state rules governing investment products like stocks and bonds. They can help industry actors ensure compliance with regulations or defend against lawsuits or enforcement actions, or they can help consumers bring claims based on alleged securities violations.