As a former stockbroker and securities industry compliance officer, Attorney
Chad Kohler brings unique perspective and experience to our investment
fraud and class action firm. He has helped clients file actions against
investment advisors, brokerage firms, and insurance companies.
Career Stats
- Former stockbroker at one of the nation's largest brokerage firms
- Former Chief Compliance Officer
- Experience working on regulatory compliance matters at two SEC-registered
investment firms
Areas of Practice
- Business Litigation
- Contracts
- Fiduciary Relationships
- Business Torts
Education
- Case Western Reserve University School of Law – 2001
Licensing & Membership
- Series 7, 63 and 65 securities licenses
- Ohio State Bar Association
- Central Ohio Association for Justice
- Franklin County Democratic Lawyers Club
- Public Investors' Arbitration Bar Association (PIABA)