Law Offices of Meissner Associates
Managing Member, Stuart D. Meissner, represents individual investors, brokerage house employees, and general consumers in matters related to securities regulations violations, select criminal defense and other legal matters.
A native New Yorker, Attorney Meissner served under two Attorney Generals in the New York State Attorney General’s Office and under Robert Morgenthau in the Manhattan District Attorney’s office.
The Meissner Firm also employs select Associate Attorney(s) and assistants who are experienced in field of securities laws and FINRA arbitration proceedings on behalf of investors, securities employees and whistle-blowers. The firm also works with a network of experts in the field from across the country, as well, as has numerous Of-counsel and/or Co-Counsel relationships in numerous states throughout the United States.
The Meissner firm uses its experience to help represent the firm’s clients knowledgeably, effectively, and with a thorough understanding of securities arbitration, criminal and civil trial proceedings. For more information about Mr. Meissner, review his profile information below, contact his law firm, or call (212) 764-3100.
Stuart D. Meissner, Esq.
1430 Broadway, Suite 1802, New York, N.Y. 10018
Fax: (646) 843-4964
Areas of Practice
Business & Commercial Law
Employment Law — Employee
New York, 1989
New York University School of Law, New York, New York, 1998 LL.M.
Hofstra University School of Law, Hempstead, New York, 1988 J.D.
Securities Fraud & Manipulation in Cyberspace, Securities in the Electronic Age, wallstreetlawyer.com, Volume 2 Number 3
Professional Associations and Memberships
The Association of the Bar of the City of New York Member
Public Investors Arbitration Bar Association Member
Past Consultant & Advisory Position
Selling the Dream: Stock Hype and Fraud – Movie examining stock and securities fraud.
Past Employment Positions
New York County District Attorneys’ Office Trial Bureau, Assistant District Attorney, 1988 – 1995
New York State Attorney General’s Office – Securities Investor Protection Bureau & Financial Crimes Unit, Assistant Attorney General, 1995 – 1999 Gusrae Kaplan & Bruno, Senior Associate, 1999 – 2000
*Disclaimer: Prior results cannot and do not guarantee or predict a similar outcome with respect to any future matter, including yours, in which a lawyer or law firm may be retained. The information you obtain at this site is not, nor is it intended to be, legal advice. You should consult an attorney for individual advice regarding your own situation.
This Site Contains Attorney Advertising