Securities Lawyers and Attorneys
Manta has 2 businesses under Securities Lawyers and Attorneys in Anaheim, CA
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Categorized under Securities law
Categorized under Securities law
Evans Law, PC is a full service corporate and securities firm serving the diverse needs of the financial services industry from the boardroom to the courtroom. We are dedicated to providing experienced and strategic legal counsel to help clients manage risk, structure transactions, protect and maximize opportunities, pursue remedies, resolve disputes and advance their business.
The law firm brings over a decade of experience to each matter entrusted to us. Current members of our firm include a former chief executive of a FINRA member firm, general counsel and chief operating officer to securities issuers and a FINRA arbitrator with intimate knowledge of the challenges and objectives faced by broker-dealers, issuers, representatives and investment advisers.
The firm’s corporate practice assists clients in addressing the paramount challenges faced across a broad array of industry sectors in the areas of private equity and debt, venture capital, corporate securities, private offerings and hedge funds, joint ventures and mergers and acquisitions. We represent individuals, firms and companies in pre-litigation counseling and adversarial and administrative proceedings before state and federal courts, alternative resolution forums (including AAA, FINRA and JAMS) and state and federal regulatory agencies across the United States.
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Categorized under Securities law
Categorized under Securities law
Evans Law, PC is a full service corporate and securities firm serving the diverse needs of the financial services industry from the boardroom to the courtroom. We are dedicated to providing experienced and strategic legal counsel to help clients manage risk, structure transactions, protect and maximize opportunities, pursue remedies, resolve disputes and advance their business.
The law firm brings over a decade of experience to each matter entrusted to us. Current members of our firm include a former chief executive of a FINRA member firm, general counsel and chief operating officer to securities issuers and a FINRA arbitrator with intimate knowledge of the challenges and objectives faced by broker-dealers, issuers, representatives and investment advisers.
The firm’s corporate practice assists clients in addressing the paramount challenges faced across a broad array of industry sectors in the areas of private equity and debt, venture capital, corporate securities, private offerings and hedge funds, joint ventures and mergers and acquisitions. We represent individuals, firms and companies in pre-litigation counseling and adversarial and administrative proceedings before state and federal courts, alternative resolution forums (including AAA, FINRA and JAMS) and state and federal regulatory agencies across the United States.
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