Regulatory defense and individual representations
Helping clients navigate regulatory investigations and strategic challenges
The Law Office of Mark Silver, PLLC, provides skilled representation and seasoned counsel to companies and individuals involved in investigations, litigations, or other regulatory proceedings with the Department of Justice, the Securities & Exchange Commission (SEC), the Financial Industry Regulatory Authority (FINRA), the various securities exchanges, and other regulatory bodies.
Practice areas include: regulatory and internal investigations, individual representations, civil litigation, and compliance.
With more than a decade of experience managing all aspects of a regulatory or civil matter, including document discovery, witness testimony, settlement negotiations, and appeals, the Law Office of Mark Silver takes a holistic approach to resolving cases, working to deliver successful outcomes at a reasonable cost to clients.
Contact Us
123 7th Avenue, #113
Brooklyn, NY 11215
mark@marksilverpllc.com
(646) 727-0513
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