Helping Victims Of Security Fraud

At the law offices of Timothy J. Dennin, P.C., we represent people injured by securities law violations. Our clients have suffered losses from breaches of fiduciary duty, fraud, unsuitable investments, misconduct, selling away, churning and unauthorized trading, and derivative shareholder suits.

Our New York City breach of fiduciary duty lawyer, Timothy J. Dennin, has received the AV-Preeminent peer review rating from Martindale-Hubbell*. He is a sole practitioner with extensive experience in securities law and litigation, including his prior service as an attorney in the Division of Enforcement of the Securities and Exchange Commission in Washington, D.C.

Call Us At 866-437-9475 Free Initial Consultation

Proven Track Record Of Success Representing Private Investors

We have a track record of success for our private investor clients — both domestic and international — that speaks for itself. From 1990 to December 2015, more than 84 percent of the arbitration claims we have handled, which went to trial, received favorable results. Of those favorable cases, the arbitration panel on average awarded over 85 percent of the amount we requested.

Lawyer Timothy J. Dennin's legal work involves providing legal guidance and advocacy in matters involving:

"I have always been on the side of the underdog. I fight for the underdog." Timothy J. Dennin

See our current cases and situations we are investigating on behalf of clients, including claims against UBS PR.

Call Today To Learn About What We Do

Are you uncertain how to deal with your losses and to whom to turn? Please call our securities arbitration and litigation law firm at 866-437-9475 in Manhattan or in Northport for a free initial consultation to learn how the law offices of Timothy J. Dennin, P.C., can help you. You may also contact us online to talk about your legal concerns.

No Obligation On Your Part To Retain Our Securities Litigation Attorney

You are not obliged to retain our legal services after meeting with us during the free consultation. From our offices in New York, one in Suffolk County, Long Island, and the other in New York City, we represent investors throughout the nation in investigations and claims related to broker misconduct, adviser fraud and other serious securities misconduct.

*AV®, AV Preeminent®, Martindale-Hubbell Distinguished and Martindale-Hubbell Notable are certification marks used under license in accordance with the Martindale-Hubbell certification procedures, standards and policies. Martindale-Hubbell® is the facilitator of a peer-review rating process. Ratings reflect the anonymous opinions of members of the bar and the judiciary. Martindale-Hubbell® Peer Review Ratings™ fall into two categories - legal ability and general ethical standards.