|
|
Address
Two Penn Center Plaza
1500 John F. Kennedy Boulevard, Suite 1422
Philadelphia, Pennsylvania 19102 (Philadelphia Co.)
Average Client Review Rating
Rating not available
Average Peer Review Rating
5.0
out of 5
(Main Office) Statement of PracticeSecurities and Complex Civil and Commercial Litigation, SEC Enforcement Actions, Investment Adviser Regulation, Corporate Internal Investigations, Responding to Government Inquiries, Securities Compliance Counseling and Training, White Collar Criminal Defense. Firm Size: 2
AddressTwo Penn Center Plaza 1500 John F. Kennedy Boulevard, Suite 1422 Philadelphia, PA 19102, (Philadelphia Co.)
PhonePhone: 215-568-9840 Fax: 215-568-9843

Website http://www.rlevan.com
Richard A. Levan (Member) born White Plains, New York, October 25, 1957; admitted to bar, 1982, District of Columbia; 1987, Pennsylvania; 1994, New York; U.S. Supreme Court; U.S. Court of Appeals, Second, Third and District of Columbia Circuits; U.S. District Court, Eastern, Middle and Western Districts of Pennsylvania; U.S. District Court, Southern and Eastern Districts of New York; U.S. District Court, District of Maryland; U.S. District Court for the District of Columbia. Education: University of Pennsylvania (B.A., History, cum laude, with distinction, 1979); George Washington University (J.D., cum laude, 1982). Clerk to the Honorable John A. Terry, District of Columbia Court of Appeals. Senior Trial Counsel, U.S. Securities and Exchange Commission. Assistant U.S. Attorney, Department of Justice, Washington, D.C. Member, Attorney Advisory Board, Pennsylvania Securities Commission. Member: Philadelphia ( Former Chair, Securities Regulation Committee) and American (Former Co-Chair, Financial Services Integration Committee) Bar Associations. Practice Areas: Securities; Securities Litigation; Investment Adviser Regulation; Securities Compliance; Securities Arbitration; Securities Registration; Securities Fraud; Corporate Investigations; Corporate Litigation; Corporate Law; Corporate Criminal Law; Government Investigations; Civil Litigation; Complex Litigation; SRO Investigations; Regulatory Investigations; Bank Securities; Broker-Dealer Arbitration; Broker-Dealer Registration; Broker-Dealer Regulation; Insider Trading; NASD Arbitration; New York Stock Exchange Arbitration; SEC Enforcement; Securities Regulation; White Collar Crime.Email: Richard A. Levan
——————————Conor L. Mullan (Associate) born Eupen, Belgium, June 30, 1978; admitted to bar, 2006, Pennsylvania; U.S. District Court, Middle District of Pennsylvania. Education: University of Delaware (B.A., Psychology, 2002); Widener University School of Law (J.D., 2005). Co-Author: "SEC Loses Insider-Trading Case: Court 'Distressed' by Counsel's Conduct, "The Legal Intelligencer, 234 (106), December 4, 2006; "Blow Dealt to Corporate Defendants in Backdating, Spring-Loading Cases," The Legal Intelligencer, 235(49), March 13, 2007; "SEC Enforcement Actions Under the Investment Advisers Act of 1940," published in the Pennsylvania Bar Institute's Federal Securities Law Forum 2006, 2007, 2008 and 2009 course books. Member: Philadelphia Bar Association (Member, Securities Regulation Committee); Asian American Bar Association of the Delaware Valley. Practice Areas: Securities; Securities Litigation; Investment Adviser Regulation; Securities Compliance; Securities Arbitration; Securities Registration; Securities Fraud; Corporate Investigations; Corporate Litigation; Corporate Law; Corporate Criminal Law; Government Investigations; Civil Litigation; Complex Litigation; SRO Investigations; Regulatory Investigations; Bank Securities; Broker-Dealer Arbitration; Broker-Dealer Regulation; Insider Trading; NASD Arbitration; SEC Enforcement; Securities Regulation; White Collar Crime; New York Stock Exchange Arbitration.Email: Conor L. Mullan
Ratings Methodology
The following firm members have been rated by their peers
Disclaimer: No representation is made that the quality of legal services to be performed is greater than the quality of legal services performed by other lawyers. The testimonial or endorsement does not constitute a guarantee, warranty, or prediction regarding the outcome of your legal matter. Any result that the endorsed lawyer or law firm may achieve on behalf of one client in one matter does not necessarily indicate that similar results can be obtained for other clients. Past success cannot be an assurance of future success because each case must be decided on its own merits. Prior results do not guarantee a similar outcome. Martindale-Hubbell® does not undertake to develop a Client Review Rating or Peer Review Rating for all firms and/or lawyers. Therefore, the fact that a firm or lawyer has not been reviewed should not be construed as unfavorable. Martindale-Hubbell accepts no responsibility for and will not be liable for the content and accuracy of the individual Reviews and the aggregated Reviews.
|