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COURTCPA.COM Fellow, American College of Forensic Examiners
Alameda, California
875 Island Drive, Suite 250, 94502


Contact:  Victor P. Republicano Jr., CPA, DABFA, FACFE
www.courtcpa.com
510-522-7111 Or Toll Free
info@courtcpa.com
Fellow, American College of Forensic Examiners
875 Island Drive, Suite 250
Alameda, California 94502

Contact:  Victor P. Republicano Jr., CPA, DABFA, FACFE
www.courtcpa.com
510-522-7111
info@courtcpa.com
Victor P. Republicano, Jr., CPA, has been an accounting and consulting practitioner since 1977, providing professional services to business owners, corporate management, lawyers and their clients, throughout the San Francisco Bay Area. For complete profile

Additional Fax: 510-580-7077
Information:  
Accountants Malpractice,  Accounting,  Business Damages,  Business Valuation,  Construction Claims,  Contract Disputes,  CPA,  Divorce,  Economic Damages,  Forensic Accounting,  Fraud Examiners,  Intellectual Properties,  Mediation,  Personal Injury,  Securities,  Trial Consultants,  Trial Preparation, 


Victor P. Republicano, Jr., CPA, has been an accounting and consulting practitioner since 1977, providing professional services to business owners, corporate management, lawyers and their clients, throughout the San Francisco Bay Area. For complete profile

Additional Fax: 510-580-7077

Conlon Financial Advisors & Associates
Arlington, Texas
2405 Cales Drive, Suite B, 76013


Contact:  Peter Conlon
www.conlonfinancial.com
817-465-3565 Or Toll Free
pconlon@conlonfinancial.com
2405 Cales Drive, Suite B
Arlington, Texas 76013

Contact:  Peter Conlon
www.conlonfinancial.com
817-465-3565
pconlon@conlonfinancial.com
Conlon Financial Advisors & Associates Is A Multi-Dimensional, Professional Consulting Firm With A Strong Commitment To Personal Service. We Have Built Our Reputation On Successful, Long-Term Relationships By Providing A Conservative, Yet Proactive, Approach To Client Services Since 1989. We Are Eager To Develop A Relationship With You.
Information:  
Arbitration,  Banking and Finance,  Financial Management,  Insurance,  Insurance Bad Faith,  Insurance Securities,  Investment Management,  Securities, 


Conlon Financial Advisors & Associates Is A Multi-Dimensional, Professional Consulting Firm With A Strong Commitment To Personal Service. We Have Built Our Reputation On Successful, Long-Term Relationships By Providing A Conservative, Yet Proactive, Approach To Client Services Since 1989. We Are Eager To Develop A Relationship With You.

Edmund H. Mantell, Ph.D.
Scarsdale, New York
5 Carthage Lane, 10583


Contact:  Edmund H Mantell
www.mantelleconomics.com
914-725-4882 Or Toll Free
emantell@pace.edu
5 Carthage Lane
Scarsdale, New York 10583

Contact:  Edmund H Mantell
www.mantelleconomics.com
914-725-4882
emantell@pace.edu
Dr. Mantell has been engaged by both Plaintiffs and Defendants.
Dr. Mantell’s services as a consulting economist and expert witness are delivered rapidly and efficiently!
Information:  
Business Damages,  Business Valuation,  Damage Calculations,  Economic Damages,  Economics,  Financial Management,  Intellectual Properties,  Lost Profit,  Lost Wage Claims,  Main,  Pensions,  Personal Injury,  Real Estate Valuation and Consulting,  Securities,  Structured Settlements, 


Dr. Mantell has been engaged by both Plaintiffs and Defendants.
Dr. Mantell’s services as a consulting economist and expert witness are delivered rapidly and efficiently!

Riverside Financial Group, LLC.
Cranford, New Jersey
324 North Union Avenue, 07016


Contact:  Jerry DeNigris
http://www.riversidefinancial.com/index.asp
908-272-5558 Or Toll Free
jdenigris@riversidefinancial.com
324 North Union Avenue
Cranford, New Jersey 07016

Contact:  Jerry DeNigris
http://www.riversidefinancial.com/index.asp
908-272-5558
jdenigris@riversidefinancial.com
At Riverside Financial Group, our securities industry professionals have over thirty years experience in a variety of areas including transactional analysis, churning, mark-ups, NASDAQ market-making and trading, fixed income products including mortgage-backed securities, operations, compliance, portfolio management and data mining. We have testified at over 125 hearings, in both simple and complex high-exposure cases, including FINRA (formerly NASD & NYSE) and AAA arbitrations, mediations, State and Federal court on such matters as trading analysis, churning, mark-ups, suitability, damage calculations, interest calculations, and hypothetical portfolio performance.
Information:  
Arbitration,  Forensic Science,  Securities, 


At Riverside Financial Group, our securities industry professionals have over thirty years experience in a variety of areas including transactional analysis, churning, mark-ups, NASDAQ market-making and trading, fixed income products including mortgage-backed securities, operations, compliance, portfolio management and data mining. We have testified at over 125 hearings, in both simple and complex high-exposure cases, including FINRA (formerly NASD & NYSE) and AAA arbitrations, mediations, State and Federal court on such matters as trading analysis, churning, mark-ups, suitability, damage calculations, interest calculations, and hypothetical portfolio performance.

Charles L Stanley, CFP, ChFC, AIF
Escondido, California
2418 Teaberry Glen, 92027


Contact:  Charles L Stanley, CFP, ChFC, AIF
http://upiaexpert.com/
858-395-8694 Or Toll Free
Charles@upiaexpert.com
2418 Teaberry Glen
Escondido, California 92027

Contact:  Charles L Stanley, CFP, ChFC, AIF
http://upiaexpert.com/
858-395-8694
Charles@upiaexpert.com

Charles L. Stanley's CV

 

As an expert witness, Mr. Stanley applies over 25 years experience as an Investment Advisor to trustees on behalf of attorneys who require clear, concise opinions on disputes between trustees and beneficiaries regarding the investment and management of trust assets as required under the Uniform Prudent Investor Act.
Information:  
Estate and Trust Administration,  Securities,  Trust Litigation, 


Charles L. Stanley's CV

 

As an expert witness, Mr. Stanley applies over 25 years experience as an Investment Advisor to trustees on behalf of attorneys who require clear, concise opinions on disputes between trustees and beneficiaries regarding the investment and management of trust assets as required under the Uniform Prudent Investor Act.

Fend Securities Expert Witness (FEND) Securities Through Silber Bennett Financial, Inc
Los Angeles, California
5529 Bedford Avenue, 90056-1010


Contact:  Mason A. Dinehart III, RFC
www.fend.com
310-641-0377 Or Toll Free 800-484-6930
fendmase@ca.rr.com
Securities Through Silber Bennett Financial, Inc
5529 Bedford Avenue
Los Angeles, California 90056-1010

Contact:  Mason A. Dinehart III, RFC
www.fend.com
310-641-0377 Or Toll Free 800-484-6930
fendmase@ca.rr.com
Since 1991, Mason Alan Dinehart III, RFC has testified as a securities industry expert witness in 19 states before arbitration panels of the NASD/NYSE/PSE and the AAA. He has testified on behalf of both claimants (65%) and respondents (35%) in CA, OR, AZ, HI, TX, IL, KS, LA, MA, MI, MO, NM, NV, OH, NY, GA, TN, WA, and FL. NATIONWIDE SERVICES AVAILABLE.
Information:  
Securities, 


Since 1991, Mason Alan Dinehart III, RFC has testified as a securities industry expert witness in 19 states before arbitration panels of the NASD/NYSE/PSE and the AAA. He has testified on behalf of both claimants (65%) and respondents (35%) in CA, OR, AZ, HI, TX, IL, KS, LA, MA, MI, MO, NM, NV, OH, NY, GA, TN, WA, and FL. NATIONWIDE SERVICES AVAILABLE.

AGFS
Annapolis, Maryland
Robert.Doty@AGFS.com, 21401


Contact:  Robert W. Doty, President/Proprietor
http://www.agfs.com/
916-761-3432 Or Toll Free
Robert.Doty@AGFS.com
Robert.Doty@AGFS.com
Annapolis, Maryland 21401

Contact:  Robert W. Doty, President/Proprietor
http://www.agfs.com/
916-761-3432
Robert.Doty@AGFS.com
Robert Doty provides litigation consulting and expert witness services regarding disclosure and due diligence in municipal bond transactions, and the roles and responsibilities of parties, including issuers, conduit borrowers, underwriters and dealers, municipal advisors and counsel (bond, underwriter, disclosure and issuer counsel). Mr. Doty has served in each of those legal and business capacities during his 45-year career in the financial markets. Mr. Doty has extensive experience in the development of recognized and authoritative market guidance publications and has published numerous books and articles on municipal finance.
Information:  
Banking and Finance,  Municipal Bonds ,  Securities, 


Robert Doty provides litigation consulting and expert witness services regarding disclosure and due diligence in municipal bond transactions, and the roles and responsibilities of parties, including issuers, conduit borrowers, underwriters and dealers, municipal advisors and counsel (bond, underwriter, disclosure and issuer counsel). Mr. Doty has served in each of those legal and business capacities during his 45-year career in the financial markets. Mr. Doty has extensive experience in the development of recognized and authoritative market guidance publications and has published numerous books and articles on municipal finance.

Brick House Asset Management, LLC
Rochester, New York
9 Taylors Rise, 14618


Contact:  Lawrence L. Halpern, CFE
www.bh-am.com
585-271-2426 Or Toll Free
lhalpern@bh-am.com
9 Taylors Rise
Rochester, New York 14618

Contact:  Lawrence L. Halpern, CFE
www.bh-am.com
585-271-2426
lhalpern@bh-am.com
With over 38 years experience in the financial services industry, I can expertly testify on all facets of branch supervision/compliance, product development and operations. I have over 25 years experience in branch management, including sales manager, branch manager and complex manager at both large national firms and smaller regional firms. I have also been a divisional sales manager and a product manager at a large, investment banking firm. I am currently the founder of a registered investment advisory firm.
Information:  
Arbitration,  Fraud Examiners,  Investment Management,  Securities, 


With over 38 years experience in the financial services industry, I can expertly testify on all facets of branch supervision/compliance, product development and operations. I have over 25 years experience in branch management, including sales manager, branch manager and complex manager at both large national firms and smaller regional firms. I have also been a divisional sales manager and a product manager at a large, investment banking firm. I am currently the founder of a registered investment advisory firm.