Jason M. Fedo represents broker/dealers and their employees in all aspects of their business, including litigation in arbitration, state and federal trial courts, appellate courts, and before regulators and self-regulatory agencies. Jay handles a wide range of matters, including sales practice disputes, alleged research conflict issues, hedge fund sales practices, failure to hedge, customer malfeasance (i.e. Ponzi schemes), employment matters, regulatory investigations and contract disputes. He has tried matters to conclusion in jurisdictions across the country.
- Securities arbitration and mediation
- Securities regulatory practice
- Internal investigations
- Complex civil litigation