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Stocks / Bonds
There are 8 expert witnesses in this category

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Norman Katz
Managing Partner
18881 Von Karman, Suite 1175
Irvine CA 92612
USA
phone: 949-263-8700
fax: 949-263-0770
Norman
MCS Associates is a nationally recognized consulting group that has provided financial, operations and regulatory/compliance consulting services nationwide to financial institutions, insurance companies and regulatory agencies as well as real estate and financial services organizations for over 30 years.

Expert Witness and Litigation Consulting are a primary focus of our services. We undertake expert witness assignments throughout the United States and our clients include several hundred leading law firms around the country, working on behalf of both plaintiff and defendant financial institutions, borrowers, depositors, investors, developers, insurance companies and their insured, securities/insurance/real estate brokers/agents, regulators and government agencies, and individuals.

Together with MCS Associates’ specialized resources in banking, financial services and real estate, we also draw on key strategic alliances in insurance, economics, academia and the securities industry to meet a wide range of expert witness needs. Our litigation experts include experienced bankers, lenders, consultants, regulators, managers, brokers & agents in insurance, real estate, and securities; insurance claims and underwriting managers; economists, accountants, appraisers, real estate analysts, and academics.

Areas of Expertise Include:
  • Banking Operations/Administration
  • Check Fraud
  • Lending Policies, Custom and Practice
  • Loan Underwriting & Credit Administration
  • Sub Prime Loan Originations, Underwriting, Securitizations & Servicing
  • Bankruptcy, Foreclosures and Workouts
  • Trust & Fiduciary Issues / Operations
  • Securities Brokerage & Investments
  • Valuations & Damages Analysis
  • Forensic Accounting
  • Employment / Compensation
  • Real Estate Brokerage & Management
  • Title Insurance & Escrow
  • Real Estate Appraisal & Transactions
  • Insurance Industry Custom & Practice
  • Insurance Coverages / Claims Handling
  • Insurance Bad Faith
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    Joel Finard
    Principal
    74 Magnolia Avenue
    Larchmont NY 10538
    USA
    phone: 914-833-7633
    Joel Finard is an Expert Witness in Financial Services Litigation. He has extensive knowledge of People, Processes and Technology in Financial Services. Mr. Finard has played a key role in many Complex and High Profile Investment Banking Litigations & NASD Arbitrations.

    Areas of Expertise
  • Financial Services Litigation
  • Complex Structured Transactions - Tax Related Cases
  • Securities Trading and Pricing, Derivatives, Controls and Hedging
  • Market & Credit Risk Management
  • Investment Management
  • Background: Partner in charge of Deloitte & Touche's Capital Markets Practice - including Litigation Consulting, Financial Risk Management, & Trading Infrastructure. HongKong Bank - Sales & Trading of Securities. Travelers Insurance - Portfolio Manager of Derivatives and Investments. Columbia Business School - Taught Economics
    7/25/2006 · Finance
    A Discovery Road Map for Complex Financial Services Litigation
    The successful conduct of discovery in complex financial services litigation requires the incorporation of a sophisticated understanding of the people, process, and technology employed within the industry

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    Craig Wolson
    Structured Finance and Derivatives Expert Witness
    29 Punch Bowl Drive
    Westport CT 06880
    USA
    phone: 203-858-4804
    fax: 203-222-8123
    Craig A. Wolson acts as a Structured Finance and Derivatives Expert Witness and Consultant. He specializes in cases involving credit default swaps (CDS), collateralized debt obligations (CDOs), mortgage-backed securities (MBS) and other types of derivatives and securities.

    Background Experience Includes:
  • Acting on behalf of 40,000 investors in $1.6 billion class action suit against bankrupt sponsor of special purpose issuer of notes secured by notes issued by CDO and credit default swaps with sponsor; acting on behalf of class led by two major pension funds against a major bank and numerous large underwriters involving mortgage-backed securities issued by several vehices established by the bank, and securities issued by the bank; acting on behalf of large investment bank defendant in arbitration proceeding brought by another large investment bank involving nine CDOS established by defendant; acting on behalf of large bank that had invested in now-worthless notes issued by SIV established by defendant banks; acting on behalf of large bank against another large bank that had sold the former CDOs and CDS.

    Areas of Expertise:
  • Securitizations - Collateralized debt obligations (CDOs); collateralized bond obligations (CBOs); collateralized loan obligations (CLOs); asset-backed commercial paper (ABCP) programs; structured investment vehicle (SIV) programs; securitized credit-linked notes, equipment leases, railroad license agreements, and auto loans; and obligations of certified capital companies
  • Derivatives - Credit default swaps (CDS)
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    W. Timothy Finn
    Managing Partner
    483 Emerald Hill Road
    Russell Springs KY 42642
    USA
    phone: 270-866-2566
    fax: 270-866-4624
    Financial Management Consulting Group is an affiliation of well-experienced consultants serving banking interests throughout the country. Our years of experience, as bankers, as bank consultants, and as regulators provide valuable insight into case matters.

    We can assist both from the industry perspective and from the regulatory perspective, offering a comprehensive assessment and well supported opinion. We have qualified as experts in numerous State and Federal jurisdictions, and on numerous banking related matters. We are dedicated to providing clients with quality, results-oriented service.
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    Martin Dirks, MBA
    268 Bush Street, # 3631
    San Francisco CA 94104
    USA
    phone: 415-845-7829
    Martin
    Martin Dirks, MBA, is an expert in Finance and Investment Planning & Analysis, with strong academic credentials and extensive securities and corporate business experience. He provides arbitration and litigation support as well as expert witness testimony for business and investment cases involving fraud and financial misrepresentation, complex damages calculations and business valuation.

    Mr. Dirks works with both plaintiff and defense counsel in civil and criminal cases. He has provided consulting, investment research and expert witness services to investment funds and law firms since 2004. His expertise includes hedge fund strategies, securities selection, portfolio management and other investment-related issues.

    Additional Services:
    • Evaluating financial-related claims and defenses
    • Identifying and obtaining relevant discovery material and information
    • Analyzing complex financial transactions and relationships
    • Performing computer-assisted analysis of voluminous data
    • Critiquing an opposing expert's analysis
    • Reconstructing missing or destroyed records
    • Preparing comprehensive damage models
    • Providing clear and concise testimony and evidentiary presentations
    View Consultant Profile.
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    National Coverage
    ALL States USA
    phone: 888-397-9867
    Market Consulting Corporation specializes in Securities Litigation and Broker / Customer Disputes. With 20 + years of experience nationwide, Market Consulting Corporation, serving both plaintiff and defense attorneys and provides consulting to such entities as the NYSE, Options Clearing Corporation, CBOT, CME, COMEX, TIAA/CREF, banks and other major clients.

    The Principal at Market Consulting Corporation earned his Sc.D. from MIT and is a mediator with NASD training. Dr. Cornew has served as a member of the Compliance and Legal Division, Securities Industry Association.

    Services Include:
  • Consultation
  • Statistical and Damage Analysis
  • Arbitration
  • Mediation
  • Court Testimony

    Areas of Expertise:
  • Stocks and Bonds
  • Options
  • Commodity Futures and Currency Trading
  • Derivatives Including Swaps
  • Limited Partnerships
  • Hedge Funds
  • Managed Futures (suitability, churning, unauthorized trading, lack of supervision, spreading and hedging, due diligence, and marketing
  • Asset Management
  • Pension Investments
  • Securities and Futures Tax Matters (IRS examinations, appeals and US Tax Court appearances)
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    Robert Erwin Ross
    See Locations Below
    VA, IL
    USA
    phone: 847-255-6875
    fax: 847-255-6875
    Offices:
    3900 No. Fairfax Dr., Suite 825
    Arlington, VA 22203
    (224) 587-6200
    607 No. Drury Lane
    Arlington Heights, IL 60004


    Robert Erwin Ross is an Expert Witness in the fields of Investment Securities and Bank Fraud / Letters of Credit.

    Investment Securities: Vice President of Compliance and Operations for a NYSE Firm where he directed the activities of 44 support personnel and trained 148 stock brokers in preparation for NASD, NYSE and State Securities exams. His duties included daily oversight on trading activities, Reg "T", NASD complaints and filings, NYSE Client Services, portfolio reviews and broker oversight for compliance and trading activities. Mr. Ross prevented churning and any fraudulent trades by clients and supervised the Cashiering Dividend Dept., Support Staff and Trading Department.

    Securities Expert Witness Qualifications:
  • Provided Opinions in 13 Arbitration and Mediations
  • Consulted Attorneys for Case Direction within Investment Securities and Regulatory Bodies
  • Interface with U.S. Treasure Dept (Securities Fraud ) and F.B.I. on Illicit Brokerage Trading, Mob Activities and Illegal Trading Manipulations
  • Banking / Letters of Credit : Mr. Ross has over 18 years of experience in International Trade and is one of very few who understand the complexities of Letters of Credit. He is familiar with all negotiable portions, including the usage of correspondent banks, presentation documents, instructions on when to confirm the letter of credit to beneficiary’s bank and client instructions to negotiate the letter of credit, eliminating excessive banking.
    Bank Fraud Using Letters of Credit: An Expert’s Perspective
    It begins by Mr. Natal walking into TheBank and requesting to open an account for his company that’s just opened a new office in town. With his bank documents, he deposits funds for several million dollars.

    6/19/2009 · Securities
    Midnight Oil Burners
    I had a call last week on Friday, from the search firm, seeking to potentially fill a recent query for an Expert Witness. Reporting that I’m available for a phone interview was the next step. With that in mind, I could expect a call from a law firm partner, who would be asking

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    Jules Kamin, Ph.D.
    President
    6380 Wilshire Blvd., Suite 1102
    Los Angeles CA 90048
    USA
    phone: 323-653-9555
    fax: 323-653-5391
    Dr. Jules Kamin received his Ph.D. in business economics, finance and management science from the University of Chicago Graduate School of Business, rated #1. He is an expert on Economic Damages and Economic / Financial Aspects of Liability. He brings to the practice of forensic economics a unique combination of educational background, practical business and teaching experience, and a proven record of expert retention and testimony in over five hundred cases since 1987.

    Services Include:
  • Lost Profits
  • Lost Business Goodwill
  • Diminution of Business Value
  • Business Valuation
  • Lost Earnings and Benefits
  • Course of Conduct
  • Business Torts
  • Fraud
  • Interference with Prospective Economic Advantage
  • Breach of Contract
  • Unfair Competition
  • Condemnation
  • Infringement of Intellectual Property
  • Antitrust
  • Securities
  • Personal Injury
  • Wrongful Termination
  • 9/5/2010 · Damages
    A Quick Overview of Commercial-Damages Economics
    Commercial damages occur in breach-of-contract and business-tort cases that result in claims of lost profits or diminished business goodwill or business value. Intellectual-property-infringement cases and antitrust cases also can involve such loss claims. The measurement of damages in these types of cases follows a basic methodology, with some variations in intellectual-property matters. Measurement of damages in securities-fraud cases uses a different approach.