Cds Expert Witnesses

Cds expert witnesses and consultants listed here may be able to form expert opinions, draft expert witness reports, provide expert witness testimony at deposition and/or trial as or serve as consulting (non-testifying) experts on cds. The cds expert witness listings on this page are typically from fields/areas of expertise such as: Automotive, Biomechanics, Financial, and Securities & Investments.

Adam Goodworth, PhD, PE, ACTAR Goodworth Biomechanic & Forensic Consulting

Goleta, California
Biomechanics, Automotive - pregnancy, eye injury, fetus injury, seat belts, fall, trip, brain injury, slip, biomechanics, injury, mechanism, airbag, EDR, event data recorder, accident reconstruction, NASS, CDS, CISS, research, sports, professor, professional engineer, kinesiology
Adam Goodworth, PhD, PE, is a biomechanics specialist providing expert opinions on • Claimed Injuries and injury mechanisms • Vehicle Occupant Kinematics • Event Data Recorder (EDR) • Work and Recreation Accidents (eg, slip, trip, falls) • Seat Belt Function • Fetus injuries Dr. Goodworth is a Professional Engineer in California (# M40242), an ACTAR Accredited Traffic Accident Reconstructionist (# 2225), trained in EDR interpretation (“black box”), and active in research of restraint systems and occupant kinematics. Dr. Goodworth can perform vehicle Inspections and site investigations in California and across the US. Dr. Goodworth has been a Professor for over 13 years. Currently, a full tenured Professor at Westmont College in Santa Barbara, CA, Dr. Goodworth has over 50 peer-reviewed journal and conference publications. His research has been funded by the National Science Foundation, National Institutes of Health, and Department of Defense. His teaching includes Biomechanic...

David C. Hinman, CFA Hinman Capital Services LLC (HCS)

Corona del Mar, California
Financial, Securities & Investments - Asset Management, Bond Trading, Fixed Income, Emerging Market Debt, High Yield Bonds, CLOs, Hedge Funds, Mutual Funds, Credit Derivatives, CDS, Prospectus Disclosure, Bond Defaults / Restructurings, AT1s, CoCos, Bank Loans, Bank Asset Liability, SEC Rule 144a, Bond Pricing, Chief Investment Officer
David Hinman, CFA has nearly 25 years of fixed income asset management experience, primarily at PIMCO. In his career, he has managed CLOs, hedge funds, and closed- and open-ended mutual funds. His expertise includes analyzing, trading, and managing portfolios of credit derivatives, investment grade and high yield corporate bonds, bank loans, emerging market debt, and structured credit. As an investor, he has also participated in numerous corporate bankruptcies and debt restructurings and served on creditor workout committees. He co-founded and sold a SEC registered investment advisor, where he served as Chief Investment Officer. He has expertise regarding hedge and mutual fund disclosures, documentation, and regulations. He has detailed familiarity with bond offering documents, typical disclosures, as well as bond investor expectations regarding information provided by both issuers and underwriters. He previously held Series 3, 63, 65 and 7 licenses. He has also testified in deposit...

David C. Hinman, CFA Hinman Capital Services LLC (HCS)

New York
Financial, Securities & Investments - Asset Management, Bond Trading, Fixed Income, Emerging Market Debt, High Yield Bonds, CLOs, Hedge Funds, Mutual Funds, Credit Derivatives, CDS, Prospectus Disclosure, Bond Defaults / Restructurings, AT1s, CoCos, Bank Loans, Bank Asset Liability, SEC Rule 144a, Bond Pricing, Chief Investment Officer
David Hinman, CFA has nearly 25 years of fixed income asset management experience, primarily at PIMCO. In his career, he has managed CLOs, hedge funds, and closed- and open-ended mutual funds. His expertise includes analyzing, trading, and managing portfolios of credit derivatives, investment grade and high yield corporate bonds, bank loans, emerging market debt, and structured credit. As an investor, he has also participated in numerous corporate bankruptcies and debt restructurings and served on creditor workout committees. He co-founded and sold a SEC registered investment advisor, where he served as Chief Investment Officer. He has expertise regarding hedge and mutual fund disclosures, documentation, and regulations. He has detailed familiarity with bond offering documents, typical disclosures, as well as bond investor expectations regarding information provided by both issuers and underwriters. He previously held Series 3, 63, 65 and 7 licenses. He has also testified in deposit...