David Chase, a national SEC defense lawyer, has over 30 years experience in strategically and aggressively representing clients nationwide in SEC, FINRA and DOJ securities fraud investigations, including insider trading, market manipulations and investment advisor fraud.
David worked for the SEC in its Enforcement Division in the position of Senior Counsel. While at the SEC, he handled numerous securities fraud cases and learned how the SEC investigates, prosecutes and settles its matters.
David brings this unique insight to each of his clients and develops a strategy to avoid charges or, if required, settle on the best possible terms.
If you are under SEC, FINRA or DOJ investigation, call David now for a free, confidential consultation.