Broker Dealer Expert Witness Listings

Welcome to our Broker Dealer experts directory. Browse the profiles below to find the right expert witness in Broker Dealer for your case. Our SEAK Expert Witness Database is always free to search.

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Kevin M Keefe, CFA Keefe Capital Partners LLC

San Diego, California
Financial, Securities & Investments - Due Diligence, Investment Products, Investment Research, Investment Manager, Mutual Funds, Suitability, Complex Products, Broker Dealer, SEC, Investment Advisor, FINRA, Employment Issues, Portfolio Management, Registered Representative, Investment Advisor Representative
Former CEO of First Allied Securities. Responsible for the development and implementation of the firm’s strategic direction as well as overseeing the day-to-day operation of an enterprise with $40B in assets under management, $300M in annual revenue, and supporting more than 700 financial advisors (FAs). Accomplished financial services executive. Extensive experience working with financial products and registered representatives/financial advisors. Has directly overseen the people and processes responsible for product due diligence within some of the largest independent broker dealers in the US. Prior to joining First Allied, served as Executive Vice President and head of Wealth Management for AIG Advisor Group, where served as CEO of the corporate RIA (Registered Investment and Advisor) and managed all investment research and due diligence, product, platform, and retirement plan functions within the broker/dealer network of 6,000 independent financial advisors. During five-yea...
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Jesus D. Mattei, CFA Rockelis Partners

San Juan, Puerto Rico
Securities & Investments, Financial - Bankruptcy, Debt Restructuring, Valuation, Asset Management, FINRA, Arbitration, Mutual Funds, Municipal Bonds, Suitability, Market Manipulation, Insider Trading, Fraud, Cherry-Picking, Pension Plans, Retirement Plans, Broker Dealer, Due Diligence, Churning, Fiduciary Duty, Supervision
Over $25 billion in transactional experience including advising the Government of Puerto Rico on the largest ever municipal debt restructuring in US history. Participated actively in pivotal matters of the Puerto Rico restructuring, including litigation and mediation strategy, negotiations with creditors, and communications with national credit rating agencies. More than 15 years of experience in investment management, public financing, and banking operations. Has been portfolio manager for over 15 mutual funds and separate managed accounts with an aggregate of more than $3.5 billion in assets under management. Oversaw a $150 million open-ended investment fund structure based in Luxembourg. Experience with fund leverage program with over $4 billion in aggregate repo and commercial paper lines. CFA Charterholder, approved as FINRA Dispute Resolution Arbitrator, and previously held FINRA Series 7 and Series 66 licenses. Served as board member for entities that include: Puerto Ric...
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Richard B Chess, JD Chess Law Firm, PLC

Richmond, Virginia
Real Estate, Securities & Investments - Acquisitions, Equity Syndication, Audit Committee, Disclosure, FINRA / SEC, Broker Dealer, DST / TIC, 1031 Exchange, REIT, Due Diligence, Valuation, Board Governance
Rick Chess has hands on experience acquiring real estate (50,000 apartments and 10 retail centers) and helping grow a company from one property into a $1.5 billion in assets office & industrial NYSE REIT. Chess has been engaged as an expert for real estate related disputes in federal and state courts and for FINRA arbitrations. Rick is an educator, having taught real estate law for three years at Virginia Commonwealth University. He has served as the Chair of the Commercial Real Estate Committee for the Virginia State Bar and as an elected member of Pennsylvania General Assembly. Chess created and ran his own FINRA managing broker dealer. Chess has authored articles for attorneys in FEE SIMPLE and publishes articles for investors ("REALTY REALITY"). He serves as Senior Advisor for the Ackerman Group, Director - Investments for Crescent Securities, and as Managing Partner of Chess Law Firm, PLC.
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