Investment Bank/Securities Brokerage - Staten Island, NY, US
Financial Litigation and Investment Management Consulting. I have served as a financial expert witness on behalf of defendants and plaintiffs in both onshore and offshore jurisdictions. I have been retained by institutional investors, high net worth investors and large global diversified financial institutions. I am an Approved FINRA Dispute Resolution Arbitrator. Specialties include: - Securities and Investments - Investment Manager Due Diligence - Hedge Funds - Performance Attribution - Trading Analysis - Prudent Investor Rule - Fiduciary Duty - Investment Suitability - Portfolio Management - Investment Allocation - Risk Management - Damage Calculations - Hedging Strategies - Investment Manager Fee Analysis - Industry Standards and Best Practices
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