Chad focuses his practice on securities arbitration and mass torts. He has extensive experience in FINRA arbitration, where he has represented hundreds of the firm’s investor-clients in claims against brokerage firms, investment advisers, and insurance companies. Chad worked in the financial services industry for several years prior to joining Meyer Wilson, both as a stockbroker at a large Wall Street firm and compliance officer.
In addition to his securities experience, Chad also has significant experience as a litigator in a variety of civil matters and has practiced in courts throughout the country. He has been licensed to practice law since 2001.