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SECLaw.com has been online since 1995 and is the result of the work of noted securities attorney Mark Astarita. Mark represents individual and institutional investors, as well as broker-dealers, investment advisers, financial professionals, across the country. Mark has represented parties in over 700 securities arbitrations and investigations, before FINRA, the SEC and the various commodity exchanges. He has helped brokers, advisers and their firms through the regulatory and compliance maze, and he should be able to help you. To find out, email Mark or if you are on a mobile, call his office now for a free consultation.



Featured Articles

Massive Insider Trading Scheme Uncovered - Lots of Blame to Share. We have been involved in insider trading cases involving allegations of computer hacking, but this one takes the cake. The SEC has brought a case alleging a massive insider trading scheme involving allegations of computer hacking, foreign investors, tens of millions of dollars, and years of trading activity. The story is not the complaint, the story is the negligence of the issuers, the wire services who were hacked, and the SEC itself.

Tips for Responding to an SEC Subpoena. Being forced to participate in an SEC investigation, even as a witness, can be a harrowing experience, and this is true whether you are a market professional, the CEO of a regulated entity, or an investor. That investigation can have a serious effect on your business, or your career and has the risk of consuming a significant amount of time, and money, even if you have engaged in any wrongful conduct. How you respond to the initial inquiry, and how you manage the events as the investigation continues often determines the outcome of that investigation.

Parking Stock Is Illegal. It seems that every once in a while securities professionals need to be reminded that conduct that they think is done in the "ordinary course of business" is actually a securities law violation, with significant consequences.

Introduction to Securities Arbitration. Mark Astarita's Securities Arbitration Overview. Downloaded tens of thousands of times, one of our most popular articles. Virtually all disputes between customers and firms, and between brokerage firms, are resolved in binding arbitration. Mark Astarita has represented parties in hundreds of these arbitrations. This walkthrough of the process takes the reader step by step, from start to finish.

Registration and Regulation of Investment Advisors. Less FINRA regulation, less wirehouse pressure. Starting an independent registered investment advisory firm is the solution for some. You will need an experienced securities attorney to assist, but the process is not that difficult.


News and Commentary


Featured Articles

Introduction to the Federal Securities Laws
An introduction to the laws which govern the purchase and sale of securities in the United States, including the Securities Act of 1933 and the Securities Exchange Act of 1934

Introduction to the Blue Sky Laws (State Securities Laws)
Each state has its own securities laws, rules and regulations. This article provides an overview to the function and purpose of those state laws, known as "blue sky laws."

Introduction to Securities Arbitration

Veteran securities arbitration attorney Mark Astarita's Securities Arbitration Overview. Downloaded tens of thousands of times, one of our most popular articles. Virtually all disputes between customers and firms, and between brokerage firms, are resolved in binding arbitration. Mark Astarita has represented parties in hundreds of these arbitrations. This walkthrough of the process takes the reader step by step, from start to finish.

Insider Trading - The Legal and Illegal
The term "insider trading" refers to two types of trading, one that is legal, and the other that is not. An overview of the illegal type of insider trading.

Introduction to Private Placements
Securities offerings which are not made to the general public are called private placements, and are exempt from registration with the securities regulators. Private placements are used by private and public companies to raise capital, as well as by hedge funds and private equity funds to accept investor funds. A description of the exemption, and the private placement process.

Registration and Regulation of Investment Advisers
An overview of the requirements and procedures for registration of investment advisers and hedge fund managers.

Guide to Broker-Dealer Registration
We updated and improved the SEC's original guide. This article is a comprehensive guide to the registration process to create and manage a securities broker-dealer.


Sallah Astarita & Cox, LLC is a securities law firm which represents all participants in the financial markets in arbitration, litigation and regulatory matters, and continues to provide commentary and analysis for SECLaw.com. Visit their site. A list of articles and commentary from the firm is also available.

Introduction to Securities Arbitration - The ultimate primer on securities arbitration, authored by Mark J. Astarita, Esq., a New York securities lawyer who has represented parties to securities arbitrations in virtually every major city for 20 years. An excellent introduction to the process. More

Links to these stories and all new additions, are contained in the current issue of the Securities Law Letter. Stop jumping from Web site to Web site to keep up with the developments in the securities law, we've done it for you, and present it in the Securities Law Letter.

The Securities Law Listserve is available to all interested parties, and discussions of all topics relating to the law of the financial markets are welcome and encouraged. Once you subscribe, messages from the list will come to your email box for reading and comment. To subscribe to the list, browse to http://lists.washlaw.edu/mailman/listinfo/securitieslaw-l and enter your email address. To post a message to the list, send the message to: securities law-l@lists.washlaw.edu

We are looking for suggestions for the site, and for future commentary. Just drop us an email. Visit the Securities Arbitration Center and New York Securities Lawyer.


If you are involved in any securities law claim, including fraud, mismanaged account allegations, selling away, suitability, or any other issue, contact our office and let us determine if we can assist you. Call 212-509-6544 for a free consultation. On a mobile phone? Call now!


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