The Law Offices of
Timothy J. O'Connor

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Law Firm in Albany, New York
 
Address
29 Wards Lane
Albany, New York 12204
(Albany Co.)
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Offers free initial consultation Free Initial Consultation
 
Contact Information
Phone: 518-426-7700  
Fax: 518-426-7770
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http://www.stockbrokerlaw.com
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The Law Offices of
Timothy J. O'Connor practices in the following areas of law:

Arbitration, Securities Brokerage Customer Claims, Financial Industry Regulatory Authority (FINRA) Arbitration, Financial Torts, Fiduciary Abuses, Personal Injury, Corporate and Private Company Shareholder and Member Disputes, and Trusts and Estates.
Year Established: 2005
Firm Profile:
Timothy J. O'Connor has been representing victims of securities brokerage customer claims since 1985. He has particularly enjoyed these cases in which he has been able to obtain recoveries which have significantly changed the lives of his clients. A graduate of Middlebury College, A.B., Economics, 1980 and the University of Denver College of Law, 1984, Mr. O'Connor is a nationally recognized attorney in the area of representation of individuals who have sustained significant financial losses due to the wrongdoing of brokerage firms, banks, financial advisors, and stockbrokers.

In the Fall of 2003, Mr. O'Connor was nominated as the Inaugural Visiting Clinical Instructor for the Investor Rights Project Securities Arbitration Clinic of Albany Law School of Union University in Albany, New York, a clinical legal studies program. Mr. O'Connor has also written widely on the topic of investors rights.

Firm Size: 1
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Fixed Hourly Rates
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Timothy J. O'Connor (Member) born Albany, New York, August 12, 1958; admitted to bar, 1985, New York; 1986, Florida and U.S. District Court, Northern District of New York; 1997, U.S. District Court, Southern District of New York and U.S. Court of Appeals, Second Circuit. Education: Middlebury College (A.B., Economics, 1980); University of Denver College of Law (J.D., 1984). Author: "The Use of Securities and Exchange Commission Decisions as Precedent in Arbitration Proceedings," Securities Arbitration, 1997, Arbitration Comes of Age, Practicing Law Institute; "The Use of NASD Notices to Members Bulletins as Precedent in Arbitration Proceedings," Practicing Law Institute, Securities Arbitration, 1998; "Using NASD Market Reports in Arbitration Proceedings," Practicing Law Institute, Securities Arbitration, 2000. Pro Bono Panel Member/Public Officer, New York State Commission on Quality Care for the Mentally Disabled, Surrogate Decision Making Committee, 1986—. Securities Arbitrator - American Arbitration Association, National Association of Securities Dealers, Inc. (NASD) and Financial Institution Regulatory Authority (FINRA). Founding Visiting Clinical Instructor, Investor Rights Project, Securities Arbitration Clinic, Albany Law School of Union University, 2004-2005. Member: Albany County and New York State Bar Associations; The Florida Bar; Public Investors Arbitration Bar Association. Reported Cases: Welch v. Board of Education of Saratoga Central School District, 287 A.D.2d 761 (3d Dept. 2001); Conley v. Gravitt, 133 A.D.2d 966 (3d Dept. 1987); Matter of Prudential Securities, Inc., (Purello) 206 A.D.2d 713 (3d Dept. 1994); Merrill Lynch & Co., Inc. v. Mathes, 212 A.D.2d 456 (1st Dept. 1995). Practice Areas: Arbitration; Securities Brokerage Customer Claims; Financial Torts; Fiduciary Abuses; Personal Injury; Corporate and Private Company Shareholder Disputes; Trusts and Estates.


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