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Fend Securities Expert Witness (FEND) Securities Through Silber Bennett Financial, Inc
San Ramon, California
74 Sage Circle, 94385


Contact:  Mason A. Dinehart III, RFC
www.fend.com
925-999-9877 Or Toll Free
fendmase@ca.rr.com
Securities Through Silber Bennett Financial, Inc
74 Sage Circle
San Ramon, California 94385

Contact:  Mason A. Dinehart III, RFC
www.fend.com
925-999-9877
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:  
Annuities,  Damage Calculations,  Derivatives,  Insurance Securities,  Securities,  Stocks, 


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.

A&C Advisors LLC
Coral Springs, Florida
5645 Coral Ridge Dr., Ste. 410, 33076


Contact:  Daniel Strachman
www.aandcadvisors.com
908-998-1414 Or Toll Free
das@hedgeanswers.com
5645 Coral Ridge Dr., Ste. 410
Coral Springs, Florida 33076

Contact:  Daniel Strachman
www.aandcadvisors.com
908-998-1414
das@hedgeanswers.com
A&C Advisors LLC, Managing Director, Daniel Strachman, is a financial services expert with more than twenty years of Wall Street experience. Daniel is recognized as an expert in all aspects of the investment management industry including corporate governance, fund structuring, product development, operations, fund administration, marketing and distribution.
Throughout Daniels Strachman extensive career, he has worked in hedge fund and mutual fund product development and marketing as well as institutional brokerage and investment management firms. He is an expert in all aspects of retail and institutional distribution for both traditional and alternative investment products and services.
A&C Advisors LLC, is a boutique strategic consulting firm focused on the investment management industry and corporate governance.
Information:  
Banking and Investment Banking,  Financial Management,  Hedge Fund,  Investment Management,  Mutual and Hedge Funds,  Private Equity Funds,  Retail Brokerage,  Securities,  Stocks, 


A&C Advisors LLC, Managing Director, Daniel Strachman, is a financial services expert with more than twenty years of Wall Street experience. Daniel is recognized as an expert in all aspects of the investment management industry including corporate governance, fund structuring, product development, operations, fund administration, marketing and distribution.
Throughout Daniels Strachman extensive career, he has worked in hedge fund and mutual fund product development and marketing as well as institutional brokerage and investment management firms. He is an expert in all aspects of retail and institutional distribution for both traditional and alternative investment products and services.
A&C Advisors LLC, is a boutique strategic consulting firm focused on the investment management industry and corporate governance.

B/D Compliance Associates, Inc.
Lilburn, Georgia
127 Main Street, 30047


Contact:  Carrie Wisniewski
bd-compliance.com
678-640-2120 Or Toll Free
carrie@bddashcompliance.com
127 Main Street
Lilburn, Georgia 30047

Contact:  Carrie Wisniewski
bd-compliance.com
678-640-2120
carrie@bddashcompliance.com
Representing both plaintiffs and defendants on matters involved FINRA and SEC rules and regulations. Specializing in supervision, suitability, damages and employment disputes.

Carrie Wisniewski has 35+ years of securities industry experience and has earned her MBA degree in Finance. She holds numerous industry designations including;

• Certified Fraud Examiner (CFE),
• Certified Financial Crimes Specialist,
• Certified Regulatory Compliance Professional™,
• Certified Securities Compliance Professional™ and
• Certified Financial Planner™.

She also maintains several FINRA licenses including the 4, 7, 24, 27, 28, 53, 63, 79 and 99.

Carrie's career accomplishments include employment as a registered representative and as a member of the Compliance Department of Merrill Lynch.

She was formerly employed by the Atlanta District Office of FINRA as a Senior Compliance Examiner, where she earned several awards for outstanding achievements
Information:  
Annuities,  Financial Management,  Investments,  Securities,  Stocks, 


Representing both plaintiffs and defendants on matters involved FINRA and SEC rules and regulations. Specializing in supervision, suitability, damages and employment disputes.

Carrie Wisniewski has 35+ years of securities industry experience and has earned her MBA degree in Finance. She holds numerous industry designations including;

• Certified Fraud Examiner (CFE),
• Certified Financial Crimes Specialist,
• Certified Regulatory Compliance Professional™,
• Certified Securities Compliance Professional™ and
• Certified Financial Planner™.

She also maintains several FINRA licenses including the 4, 7, 24, 27, 28, 53, 63, 79 and 99.

Carrie's career accomplishments include employment as a registered representative and as a member of the Compliance Department of Merrill Lynch.

She was formerly employed by the Atlanta District Office of FINRA as a Senior Compliance Examiner, where she earned several awards for outstanding achievements