Law Office of Morris Simkin - As a Securities Regulation Lawyer, I help clients enter into and operate in all aspects of the securities business while complying with Federal securities laws and the rules of the self-regulatory-organizations
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Trade Associations
  • American Bar Association: Committee on Federal Regulation of Securities; Sub-committee on Market Regulation
  • New York State Bar Association: Committee on Securities Regulation; Committee on Banking Law
  • Member, Board of Editors, Review of Financial Services Regulation
Experience
  • Law Office of Morris Simkin, New York, New York, 2013 to date
  • McLaughlin & Stern, LLP, New York, New York, Partner 2011 to 2013
  • Snow Becker Krauss P.C., New York, New York, Shareholder, 2010 to 2011
  • Carter Ledyard & Milburn LLP, New York, New York, Counsel, 2008 to 2010
  • Katten Muchin Rosenman LLP, New York, New York, Partner, 2005 to 2008
  • Winston & Strawn, New York, New York, Partner, 1997 to 2005
  • Kroll & Tract, New York, New York, Counsel, 1996 to 1997
  • Tanner Propp, New York, New York, Partner, 1990 to 1997
  • Siller Wilk Mencher & Simkin, New York, New York, Partner, 1998 to 1990
  • Booth & Baron, New York, New York, Partner, 1982 to 1998
  • Bradford National Corporation, New York, New York, General Counsel, 1977 to 1982
  • Fried Frank Harris Shriver & Jacobson, New York, New York, Associate, 1972 to 1977
  • Securities and Exchange Commission, Washington, D. C., Special Counsel, 1967 to 1972
 

 

 

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