Jonathan D. Bletzacker is a shareholder at Parsons Behle & Latimer and a member of the firm’s litigation, securities and regulatory enforcement group. Mr. Bletzacker focuses his practice on representing and defending clients who include individuals, broker-dealers, investment advisors, compliance officers and registered representatives. He has represented clients in regulatory enforcement investigations before the U.S. Securities and Exchange Commission (SEC) and related litigation against the SEC in federal district court. He also represents clients before the Financial Industry Regulatory Authority (FINRA). Mr. Bletzacker assists clients in solving sophisticated SEC-related issues. Mr. Bletzacker’s practice includes supporting clients in responding to regulatory subpoenas, preparing clients for investigative testimony, and responding to SEC “Wells Notices.” He also conducts internal investigations for clients regarding policies and procedures, compliance and other regulatory issues. Mr. Bletzacker has successfully represented clients against the SEC in multiple federal district courts in the U.S. Civil litigation work has also included representing clients in state, federal and appellate courts in actions regarding commercial and business disputes, contract disputes, employment matters, bankruptcy and real property disputes, including extensive work in title insurance defense.
Articles in the National Law Review database by Jonathan D. Bletzacker