Securities Law & Litigation

Bahn Herzfeld & Multer provides a full range of services to both industry professionals and individual
investors as part of its securities practice, including regulatory compliance, transactional matters,
regulatory and investor complaints, arbitration and litigation.
REGULATORY COMPLIANCE.
Regulatory Compliance is one of the primary areas of focus of the Securities Exchange Commission (SEC),
FINRA, the NYSE and other SRO’s in the oversight of broker dealers.
Given the ever increasing importance
of anticipating and addressing regulatory compliance issues, Richard L. Herzfeld, a senior partner of the firm,
provides a full range of compliance services to many NYSE, FINRA, CBOE and other broker dealers,
investment advisors and hedge funds. Services include
Preparation and update of written supervisory procedures
Mandatory anti-money laundering (AML) audits and reports
Assistance with responses to FINRA examinations
Assistance in responding to regulatory inquiries
Defense of regulatory complaints
Membership Applications and 1017 Filings
TRANSACTIONAL MATTERS
For transactional matters in the securities field, the firm provides
legal assistance to clients in the following areas:
Preparation and implementation of private placement offerings.
Representation of clients involved in the sale and acquisition of businesses
Contract negotiation, analysis and drafting
INVESTOR COMPLAINTS
The Firm represents investors in claims against stockbrokers for securities fraud,
churning, breach of fiduciary duty or unsuitability.
The Firm also represents broker
dealers and registered representatives in defense of these claims.
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555 Fifth Avenue, 14th Floor
New York, NY 10017
Phone: (212) 818-9019
Fax: (212) 986-5316
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