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At the New York law firm of Stuart
D. Meissner LLC, Mr. Meissner uses
his extensive experience to help clients. The firm represents individual
investors, retirees, charities, and employee option recipients in securities arbitration matters related but not limited to broker fraud, broker negligence, investor fraud. The firm also selectively represents individual employees of brokerage houses on employment issues and other
legal matters for the general public. The Meissner firm also provides a range of other experienced legal services including select criminal defense, legal consulting and Martin Act subpoena and violation issues.
Clientele From Most of the United States & International
The firm is a U.S. New York, Manhattan based securities arbitration law firm assisting its clients throughout the United States and internationally. The firm has represented clients in cities from not only the Metropolitan New York City area but also Washington D.C., Boston, Baltimore, Chicago, Miami, and Philadelphia, and states that include Florida, Maryland, Nebraska, Massachusetts, Pennsylvania, Utah, San Juan Puerto Rico and Illinois. Due to the New York base for the most major brokerage firms the firm has served international clients from London England, Sweden, and beyond.
The firm’s international scope leads to cases originating in Europe, Asia, Africa, the Middle East, South & Central America Australia. Clients call on the Meissner firm from Singapore and Japan to the United Kingdom, Ireland, Northern Ireland from Ghana to Columbia, Brazil, Israel, Ivory Coast, from Brazil to Bulgaria. All are welcome to contact the Meissner
law firm, Securities Fraud Lawyers in New York.
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Stuart D. Meissner's
securities arbitration practice is built on his years
with the Securities Investor Protection Bureau and the
Financial Crimes Unit of the New York State Attorney
General’s Office under
two Attorney Generals, along with the Trial
Division of the Manhattan District Attorney’s Office under
Robert Morgenthau. He uses this experience and his training
to represent clients in claims such as investor
broker-dealer negligence and
securities fraud. The firm also handles allegations of
FINRA / SEC violations before the SEC, NYSE or FINRA. He has
appeared numerous times in print and in the broadcast media,
and has served as a consultant for an A&E documentary on
securities fraud. The firm which limits the number of
arbitration matters it accepts at a given point in time is
known for its
unmatched win statistics having never lost any in-person
arbitration hearing*. Former client references are
available upon request to potential clients.
His prior experience with the Manhattan District
Attorney’s Office under Robert
Morgenthau, as well his years with the New York State Attorney General’s Office
under
two Attorney Generals, allows Mr. Meissner to provide thorough
and knowledgeable representation in matters such as selective criminal defense.
A graduate of Hofstra University Law School with a Juris Doctorate and of NYU Law
School with a Masters Degree in Corporate Law (LLM) with a focus on securities, Stuart
Meissner is a member
of several bar associations and professional organizations. He is a dedicated attorney
who, along with his experienced legal assistants, provides clients with the aggressive
representation they deserve.
Contact Securities
Attorney Meissner at (866) 764-3100 or (212) 764-3100. |