Martin Russo Attorney – An attorney to clear your worries
Martin Russo Attorney is an American attorney with a very prominent name especially in security and financial law. This might be because of his eighteen years of undeniable experience. He is one of the few lawyers in New York who have never had any cases of professional misconduct filed against them. He got his practice license in the year 1994 after graduating from the Harvard University a year before. Before joining the Harvard School of Law he had attained a Bachelor of Arts degree in economics in the year 1990 from Yale University. He has therefore plenty of experience having studied in two of the best universities in the whole world.
Areas of practice
Since joining the law profession close to two decades ago, he has practiced in various areas of law. Generally he has been involved in legal areas such as commodity law, securities, criminal and business law. He has also practiced in White Collar Securities for a while. At first he majored in a particular line of law which was broker-dealer regulation and litigation. This was for long period of time and he therefore has sufficient experience when it comes to dealing with cases concerning these parties.
Martin Russo Attorney also works outside the so called general counsel as a de facto in which he offers compliance advice to his clients. In this capacity he assists his firm’s clients to foresee looming issues as well as protect themselves by abiding by the current rules and regulations as stipulated by the law. He is one of the few very dynamic members of the Securities Industries and Financial Markets Association, Compliance and Legal department. He has won several cases concerning the areas which he deals with and this has earned his name more prominence and his clients’ confidence in him. They always go back to seek his services whenever they need to.
He works for a firm in New York by the name Gusrae Kaplan Nusbaum. Here he has represented many of the firm’s clients in various cases concerning commercial and securities law. Before transferring his services to this firm he worked as a partner at Nixon Peabody’s Financial Services and Securities Litigation Group. He has also been involved with the Government Investigations and White Collar Defense Group which has seen him earn significant experience concerning trials of self-regulatory organization disciplinary cases. Among such cases include the trading related manipulation cases which some lawyers avoid as much as they can.