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Richmond Securities Lawyer

G. Wythe  Michael, Jr., Esq.
G. Wythe Michael, Jr., Esq.
wmichael@goodmanallen.com
804.322.1902

Goodman Allen Donnelly

4501 Highwoods Parkway, Suite 210
Glen Allen, VA 23060
United States

Consult With A Proven Richmond Securities Lawyer

The proven Richmond securities lawyers at the Goodman Allen Donnelly law firm are experienced in the effective resolution of securities lawsuits as related to stocks, bonds and debentures in Virginia. Richmond securities attorneys are knowledgeable in all areas of general securities law, including but not limited to the Blue Sky Law, securities fraud claims and SEC enforcement in Richmond Virginia. Clients will have the confidence of knowing that the case is being handled by an experienced and knowledgeable Richmond securities lawyer.

Contact a Richmond Securities Attorney
with Experience Litigating Many Types of Securities Claims:

  • Securities
  • Blue Sky
  • FINRA Arbitration
  • Bank Securities
  • Securities Class Actions
  • Securities Fraud
  • SEC Enforcement
  • Public Offerings
  • Shareholders
  • Tax Exempt Securities
  • Securities Regulation
  • Private Placement
  • Insider Trading
  • Initial Public Offerings

A Richmond securities lawyer is professional and knowledgeable in understanding the details, facts, complications, and circumstances that arise in a Richmond securities case.

Experienced Richmond Securities Attorney

Virginia securities law is the area of law dealing with securities, which is the generic term for shares of stock, bonds and debentures issued by corporations and governments to evidence ownership and terms of payment of dividends or final pay-off. They are called securities because the assets and/or the profits of the corporation or the credit of the government stand as security for payment. However, unlike secured transactions in which specific property is pledged (like a mortgage or car); securities are only as good as the future profitability of the corporation or the management of the governmental agency.

Both federal and state laws regulate securities. Federal securities laws are generally administrated by the Security and Exchange Commission (SEC) which was established by the Securities Exchange Act of 1934. The other two main federal laws are the Investment Company Act of 1940 (“Investment Company Act”), and the Investment Advisers Act of 1940 (“Advisers Act”).

In addition to the federal laws, there are also state laws that govern securities. These laws are commonly known as Blue Sky Laws, which typically give the investor who loses money or is defrauded in the securities markets far greater protections than are available under the federal laws.

Goodman Allen Donnelly
The Richmond Securities Lawyer Source

The Richmond securities attorneys at Goodman Allen Donnelly are distinguished by a history of successful securities claim recoveries. If you or your organization is involved in a securities dispute, contact a Richmond securities lawyer with the Goodman Allen Donnelly law firm in Virginia.

Goodman Allen Donnelly

4501 Highwoods Parkway, Suite 210
Glen Allen, VA 23060
United States

Contact This Firm

Goodman Allen Donnelly

4501 Highwoods Parkway, Suite 210
Glen Allen, VA 23060
United States

Law Firm Contact: Charles M. Allen

Tel: 804.322.1902

Fax: 804.346.5954

Website: www.goodmanallen.com

Member Since: 2009

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