Lawrence, Kamin, Saunders & Uhlenhop, L.L.C. specializes in securities and futures regulation and litigation, and has represented members of the securities industry and futures industry for over 75 years. The Firm represents broker-dealers, FCMs, investment advisors, CTAs and other securities and futures firms, small and large.
We bring depth of knowledge and experience gained from years of hands-on experience in providing legal and compliance services to the financial services industry. Our experience is targeted to address the complex legal, regulatory and practical matters facing broker-dealers and investment advisers, on a timely and cost-efficient basis.