Russ Rosen focuses his practice on complex commercial, real estate, partnership and corporate matters, including business litigation. He has extensive experience advising and representing domestic and foreign entities of all types in their business affairs, including negotiating and structuring transactions of all kinds. Click here for more information.
Meryl Wiener advises financial institutions, investment managers and hedge funds on a broad range of regulatory, compliance, securities, registration, inspection, organizational and structural matters. She is an expert on the Investment Advisers Act of 1940 and represents clients in connection with regulatory examinations and enforcement proceedings. She appears in Court and before the SEC, NYSE and NASD (FINRA) in connection with client investigations, and also handles arbitration and mediations defending broker dealers. At the beginning of her career, Ms. Wiener spent four years as trial counsel for the U.S. Securities and Exchange Commission in its Division of Market Regulation, where she investigated and prosecuted enforcement actions under the federal securities laws. Click here for more information.