Nearly two decades inside securities arbitration, now working for the investors that Wall Street left behind.
After earning his juris doctor from Boston College Law School, Andrew joined one of the nation's premier securities arbitration law firms. For the nearly 20 years that followed, he worked within this specialized area of the law, defending industry clients, including brokerage firms, investment and financial advisors, and stockbrokers, in FINRA (formerly NASD) arbitration proceedings and AAA arbitrations. He also litigated trial and appellate matters in federal and state courts.
Drawing on that experience, Andrew co-founded the firm to help customers recover investment losses caused by the unlawful conduct of their financial advisors or stockbrokers. The firm has successfully brought claims across the United States on behalf of its clients, on a contingency basis.
Andrew is a member of the Public Investors Advocate Bar Association, a bar association dedicated to protecting investors in securities arbitration, and a FINRA-trained arbitrator, which gives him a firsthand understanding of how these cases are decided.