Scott L. Silver is the managing partner of Silver Law Group, a nationally recognized law firm with offices conveniently located in New York and Florida representing aggrieved investors worldwide to recover their investment losses. Scott has received a Martindale Hubbell Preeminent “AV” Rating, the highest ratings given for general ethical standards and legal ability. Scott has spent his entire legal career practicing securities and financial services law.
Silver Law Group’s New York, New York office is focused on securities arbitration and litigation and plaintiff-side class action litigation, representing individual investors and institutions in claims against brokerage firms, investment advisors, commodities firms, hedge funds and others. Scott also routinely serves as counsel to receivers and trustees in matters relating to the recovery of investor losses in Ponzi schemes. Consultations and case reviews are available on a appointment only basis
Call Silver Law Group New York at 212-377-5227
Scott has extensive experience in arbitration before the Financial Industry Regulatory Authority (FINRA), the National Futures Association (NFA), and the American Arbitration Association (AAA). He has recovered millions of dollars on behalf of aggrieved investors through arbitration and the courts. Scott has represented clients in the greater New York are as well as throughout the United States and in Europe, South America, Israel and elsewhere.
Scott is a frequent lecturer and author on securities and investment fraud matters, as well as a regular commentator in leading publications. Scott has been invited to lecture at law schools in New York and Florida as well as, industry conferences and investor rights groups. In addition, Scott frequently contributes to various publications and has authored numerous articles relating to investors and the arbitration process. Notably, Scott recently wrote a widely accepted primer on the SEC’s new Whistleblower program & published a beginners guide to the securities arbitration process
Scott graduated from the State University Of New York before attending the University of Miami, School of Law. Soon after, Scott joined Gusrae Kaplan, a Wall Street law firm founded by a former Chief Attorney of the SEC’s Division of Enforcement, specializing in the defense of brokerage firms in FINRA, SEC, NYSE, and court matters. It is during his tenure at the law firm where Scott learned the strategies employed by brokerage firms to defend against investor claims.
Scott has served as trial counsel in several cases and arbitrations including a $7 million FINRA arbitration award against former UBS Financial Services, Inc.’s broker Gary Gross. Scott was awarded the 2009 Daily Business Review’s Most Effective Lawyer award for securities litigation for his work on the Gary Gross case.
Silver Law Group represents the interests of investors who have been the victims of investment fraud. If you have questions about your legal rights, please contact Scott Silver of the Silver Law Group for a free consultation at firstname.lastname@example.org or toll-free at 212-377-5227