David is a Partner and leads the firm’s New York Office. His practice for the past 25 years has concentrated on litigation and arbitration matters for the securities industry. He has represented broker-dealers, registered investment advisors, and investment banking firms, and their principals and representatives in a broad variety of matters nationwide, including disputes alleging unsuitability, unauthorized trading, fraud, market manipulation, blue-sky violations, as well as a wide variety of employment matters, including litigation and arbitration over allegations of gender, race, and age discrimination and compensation and “raiding” cases.

David represents clients in regulatory matters before the SEC, FINRA and state regulators. David also frequently represents clients in the state and federal trial and appellate courts in commercial disputes, including employment, real estate and trusts and estates matters.

David has served as a FINRA Industry Arbitrator and a New York City Civil Court Arbitrator. David is admitted to practice in the State Courts of New York, as well as the United States District Court for the Southern and Eastern Districts and the United States Court of Appeals for the Second Circuit.

David was previously a Partner in the Litigation Department of Blank Rome, where he had also been Associate. Prior to that, David had been an Associate at Skadden Arps. David received his law degree from the Beasley School of Law at Temple University in 1985.

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