Timothy P. Burke handles a wide variety of both securities regulatory as well as litigation matters. Co-head of the firm’s securities enforcement and litigation practice, Tim represents broker-dealers, investment advisers, registered representatives, senior management, compliance officials, and others in connection with private and public investigations and enforcement proceedings brought by the SEC, FINRA, and other self-regulatory organizations as well as numerous state regulators. Tim’s experience also includes civil litigation matters and arbitration proceedings relating to securities issues. He has handled matters across the country and cases involving transactions in Europe, Latin America, and the Middle East.
Articles in the National Law Review database by Timothy P. Burke