Specialized Legal Representation
For Investors And Securities Industry Professionals In Michigan And Across The United States
A Michigan-Based Attorney Specializing In Securities Litigation, Transactions And Compliance
An Experienced Securities Attorney To Help Navigate Complicated Securities Issues
Devin Bone specializes in securities and business law. Over his career, Devin has represented individuals, Fortune 500 companies and businesses of all sizes. He has extensive experience representing investors and securities industry professionals in lawsuits across the United States, in state and federal court. Devin also regularly represents investors in arbitrations before the Financial Industry Regulatory Authority (FINRA) Office of Dispute Resolution.
As a partner at Paesano Akkashian Apkarian, P.C., Devin oversees the firm’s securities transactions, compliance and securities litigation practices. Devin represents publicly traded companies across the country, maintaining both a securities practice and a general commercial and employment litigation practice. Devin regularly represents clients in shareholder disputes, minority shareholder oppression cases, and cases involving deadlock or feuding business partners.
Advocating For Clients In Complicated Investment Disputes
Devin is an aggressive advocate for investors who suffered losses at the hands of financial professionals or investment companies. He regularly brings FINRA arbitration claims against brokers and broker dealers seeking to claw back inappropriate fees earned through churning activities, unsuitable investment recommendations, or losses associated with the financial advisor’s misrepresentations or failure to disclose important information. Similarly, Devin regularly represents shareholders and members of private and public companies who have watched their investments disappear through misappropriation or mismanagement.
If you believe to have suffered losses from the misconduct or actions of a financial professional or investment company, call Devin at 248-782-7755 for a free consultation and portfolio review. As part of the consultation, Devin will review your potential claims and the likely viability of a lawsuit against individuals who have taken advantage of your trust.
Advising Industry Professionals On The Legal Aspects Of Securities Law
The number of laws and regulations concerning securities has increased dramatically since the turn of the century. Behavior that was perfectly acceptable 20 years ago is now subject to excessive penalties and fines. As investment products become more sophisticated, having an experienced business and securities attorney you can rely on is critical.
Devin Bone represents industry professionals and companies of all sizes. He advises clients on shareholder disputes and investigations launched by FINRA, the SEC and other regulatory agencies. Devin is well-known for providing cost-effective representation to investment advisors and independent brokers. Additionally, Devin also guides companies, public and private, through the web of securities regulations to ensure compliance with the Securities Act of 1933 and Securities Exchange Act of 1934. He advises these companies on all aspects of corporate governance and compliance.