Financial Planning Expert Witnesses
Financial planning 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 financial planning. The financial planning expert witness listings on this page are typically from fields/areas of expertise such as: Financial, Insurance, Securities & Investments, and Trusts & Estates.
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Mace Barry Tamse, J.D.,CFP,AAMS,CMFC,CLTC
Financial Suitability
Sole Proprietor
Highland Beach, Florida
Securities & Investments, Insurance
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Stock Trading, Annuities, Life Insurance, Option trading, Financial planning, Suitability, Bond Trading, Structured Products, Tax Harvesting, Mutual Funds, Long Term Care, Stop loss orders
I worked for E.F. Hutton for 2.5 years as an investment advisor
Prudential Bache for 9.5 years as an investment advisor
Dean Witter/Morgan Staney for 21 years as an investment advisor, ASSISTANT Manager, and office Mutual Fund , Money Manager, Insurance coordinator
Ameriprise Financial for 11 years In the Circle of Excellence.
I have Taught at High School and College Financial Subjects
Part of my services for my clients have not only been investing for them but also advising them on Estate Planning, Tax Planning
and Insurance needs
More Degrees Include: Doctorate of Law, Bachelor of Law , Masters in Finance, Behavioral Finance ,Bachelor of Arts.
Past licenses include: Series 7, Series 10, Series 3, Series 63, Series 65, Mortgage Broker license, Real Estate license
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Thomas Selman
Expert in Litigation and Regulatory Consultant
Scopus Financial Group
Silver Spring, Maryland
Securities & Investments, Financial
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White Collar Crime, Finance, Financial Planning, Fraud Investigation, Investment Banking, Cryptocurrency, Licensing, Marketing Securities, Stocks & Bonds
For 20+ years, Tom Selman served at the Financial Industry Regulatory Authority, most recently as Executive Vice President for Regulatory Policy and Legal Compliance Officer. He oversaw more than a dozen regulatory programs and developed FINRA's formal compliance program.
Mr. Selman holds a J.D degree., a CFA charter, and a CBDA from the Digital Assets Council of Financial Professionals. He is a member of three state bar associations.
As President and CEO of Scopus Financial Group, Mr. Selman has extensive experience in providing expert testimony in litigation for defendants and claimants. He is frequently retained at inflection points in litigation to assess class-certification risk, rebut expert theories, and evaluate compliance issues under compressed timelines.
Mr. Selman has successfully testified in FINRA and AAA arbitrations and state and federal courts, including the Delaware Chancery Court. He has testified on a wide range of issues, including the supervision of associa...
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Alan J Besnoff, CFP®, ChFC, CLU
Securities, Life Insurance, CFP® Professional
Securities Expert Witness & Litigation Support, LLC
Fremont, New Hampshire
Securities & Investments, Insurance
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Mutual Funds, Annuities, Financial Planning, Life Insurance, Long Term Care Insurance, FINRA, Misrepresentation, Asset Allocation, Retirement Plans, Unauthorized Trading, Suitability, churning, Supervision, Employment, U-5, Variable Annuities, Alternative Investments, CFP® Professional, Fiduciary Duty, IRAs
Alan J. Besnoff, CFP®, ChFC, CLU is the founder of Securities Expert Witness & Litigation Support, LLC, and provides litigation consulting services and expert testimony in FINRA arbitrations, other arbitration forums, and state and federal court for matters involving customer disputes and employment issues within the financial services industry.
Mr. Besnoff’s expert engagements typically involve sales practices and alleged violations of rules and industry standards in the areas of securities, life insurance and annuities, CFP Board Code and Standards, supervisory, and U-5/employment matters.
Mr. Besnoff has been engaged as an expert in more than 135 cases and has testified approximately 35 times.
Alan Besnoff has 30+ years of experience within the industry, primarily in supervisory and leadership positions.
Mr. Besnoff has passed FINRA registration examinations for Series 6, 63, 65, 7, 26, and 24, as well as state licensing examinations for Life Insurance & Annuities, Disabi...
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Kerry Campbell, CFA®, CFP®, AIFA®
Trust and Estates, Investment Advisors & Divorce
Kerry Campbell LLC
Staten Island, New York
Securities & Investments, Trusts & Estates
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Uniform Prudent Investor Act, UPIA, Trust and Estates, Trustee Duty of Impartiality, Fiduciary Duty, Breach of Fiduciary Duty, Damages, Investment Suitability, Financial Planning, Portfolio Management, Asset Allocation, Investment Due Diligence, Divorce, Matrimonial, Hedge Funds, FINRA, Annuities
Mr. Campbell has over 30 years of financial industry experience. He is the principal of a financial litigation and investment management consulting firm, Kerry Campbell LLC, where he serves as a financial expert witness during litigations and provides consulting services to financial institutions and investors.
He has worked in investment research and portfolio management, as a Managing Director at Arden Asset Management, and as a Senior Vice President at Guggenheim Partners. He has worked in prime broker risk management as a Managing Director at Bear Stearns. Prior to that he worked as a commissioned registered representative, a funding officer and as a credit analyst/loan officer.
Mr. Campbell received a Master of Business Administration in Finance from the University of Chicago Booth Graduate School of Business and a Bachelor of Science in Finance Summa Cum Laude from Fordham University Gabelli School of Business.
He is an Approved FINRA Dispute Resolution Arbitrator, a Cha...