With offices in Manhattan and Long Island, Conway & Conway has earned a long-standing
reputation as a focused and highly-skilled law firm with deep roots in the financial services
community. In fact, one of the firm's founders; Kevin P. Conway served as counsel to the New York Mercantile
Exchange and as the Vice President of Compliance for regulatory oversight of exchange membership.
Successful Securities Arbitration Lawyers
"Fighting To Make Investors Whole"
This type of
unique experience has enabled the firm to successfully advocate for investors and others in
the resolution of investment-related disputes such as securities fraud.
Disputes Between Investors and Broker / Dealers
The lawyers at Conway & Conway concentrate on the arbitration and litigation of issues
arising from the relationships between public investors and broker / dealers. Those disputes
range from breach of the broker's fiduciary duties to trading beyond the customer's suitability
standards.
Are You a Victim of Fraud?
Conway & Conway offers a team of committed legal professionals whose cheif goal at all times is winning financial compensation and reparations for victims of fraud due to broker misconduct.
Conway & Conway's team of Securities Fraud Lawyers are dedicated to ongoing research
and education that keeps them abreast of the current and ever changing securities laws and regulatory
issues. The firm is responsive and large enough to handle numerous cases, yet still provide personalized service.
Conway & Conway also represents
broker / dealers in regulatory and disciplinary matters, international commodity merchants in trade disputes, along with commercial and business litigation, and general corporate
transactions.
Securities fraud victims, Broker / Dealers, Commodity Merchants and coporations in New York, and throughout the United States and internationally are
invited to contact Conway & Conway for a consultation and review of their ongoing legal
needs.
Visit our Practice Areas page for an overview of the legal services we offer.
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