Securities Law
Mr. Behr is a certified Arbitrator for the Financial Industry Regulatory Authority (FINRA, formerly NASD). If you are charged with a white collar crime because of your involvement or association with any aspect of the securities industry as a broker or financial advisor call Attorney Behr for a consultation. The FINRA is the regulatory agency that is charged by Congress with supervision and enforcement of all securities laws affecting the NY Stock Exchange, Stock Brokerages firms, dealers, associated persons and all aspects of securities law.
Client Reviews
★★★★★
My experience with Mr. Behr and his staff was nothing short of phenomenal. I hope to not ever need representation again. But In the case I do. J would absolutely use Mr. Behr. I would also fully recommend him to anyone I know in need of representation. Jeff
★★★★★
When I travel throughout the world for business I can honestly say that I feel extremely comfortable knowing I can pick up the phone for guidance and know Mr. Behr will consistently have my back with a positive answer on the other end. I attribute my success with my business by having this honorable man on my team. Thomas
★★★★★
Mr. Behr has helped me in various cases. And each time has been more than successful than I expected! I would recommend him 100% to anyone with legal problems. Eve
★★★★★
He filed motion after motion until the judge finally dismissed my case. He even took it to another judge. The guy never stopped and let nothing stop him. He was all over the prosecutor and knew more law than the judge, it was super cool to watch the man work. He is the best lawyer in the county. Jose