ABOUT
ATTORNEYS
Bruce Lewitas
Douglas W. Hyman
Daniel Hildebrand
FINANCIAL PROFESSIONALS
FINRA, SEC and State Regulatory Investigations
Employment Counsel
Wrongful Discharge
Expungement Claims
Promissory and Forgivable Notes
Firm Transitions
CFP Board Investigations
Partnership Disputes
Broker Protocol FAQs
Form U5 Claims
FINANCIAL INSTITUTIONS
Financial Services Arbitration and Litigation
Regulatory Counseling and Investigations
RIA Formation and Compliance Counsel
Securities and Commercial Litigation
INVESTORS
Investor Notice: GWG L Bonds
Frequently Asked Questions About Investment Loss Matters
Financial Advisor Misconduct
Breach of Fiduciary and Other Duties
Retirement Planning Negligence
Securities and Investment Fraud
Unauthorized Trading
BLOG
CONTACT
Discuss Your Matter With An Attorney
(888) 655-6002
Based in Chicago. Nationwide Representation in Securities Law Matters.
Contact Us:
(888) 655-6002
ABOUT
ATTORNEYS
Bruce Lewitas
Douglas W. Hyman
Daniel Hildebrand
FINANCIAL PROFESSIONALS
FINRA, SEC and State Regulatory Investigations
Employment Counsel
Wrongful Discharge
Expungement Claims
Promissory and Forgivable Notes
Firm Transitions
CFP Board Investigations
Partnership Disputes
Broker Protocol FAQs
Form U5 Claims
FINANCIAL INSTITUTIONS
Financial Services Arbitration and Litigation
Regulatory Counseling and Investigations
RIA Formation and Compliance Counsel
Securities and Commercial Litigation
INVESTORS
Investor Notice: GWG L Bonds
Frequently Asked Questions About Investment Loss Matters
Financial Advisor Misconduct
Breach of Fiduciary and Other Duties
Retirement Planning Negligence
Securities and Investment Fraud
Unauthorized Trading
BLOG
CONTACT
Site Map
Site Map
Pages
About Us
Blog
Contact
For Financial Institutions
Financial Services Arbitration and Litigation
Regulatory Counseling and Investigations
RIA Formation and Compliance Counsel
Securities and Commercial Litigation
For Financial Professionals
Broker Protocol FAQs
Protocol For Broker Recruiting
CFP Board Investigations
Employment Counsel
Expungement Claims
FINRA, SEC and State Regulatory Investigations
FINRA Rule 8210 FAQs
Firm Transitions
Form U5 Claims
Partnership Disputes
Promissory and Forgivable Notes
Wrongful Discharge
For Investors
Breach of Fiduciary and Other Duties
Financial Advisor Misconduct
Frequently Asked Questions About Investment Loss Matters
Investor Notice: GWG L Bonds
Retirement Planning Negligence
Securities and Investment Fraud
Unauthorized Trading
Home
Legal Disclosures
Lewitas Hyman PC Securities, Business and Financial Law Office
People
Hildebrand, Daniel
Hyman, Douglas W.
Lewitas, Bruce