Christopher D. Warren litigates securities, business to business disputes, shareholder and partnership disputes, other civil matters in state and federal court, as well as arbitration bodies such as FINRA, AAA, and JAMS.
Steve is a member of the panel of arbitrators for the U.S. District Court for the Eastern District of New York. Steve is also a member of the Mediation Panel of the Eastern District of New York. He was formerly the Chairperson of the Securities Law Committee of the Nassau County Bar Association and is a member of the Compliance and Legal Division of the Securities Industry Financial Markets Association (SIFMA).
Paul Share began legal practice in 1973, specializing in corporate and securities law. He also has extensive experience in loan agreements, the formation, acquisition and sale of businesses, and the negotiating and drafting of a wide variety of contracts, including employment agreements, shareholder agreements, leasing agreements, and software development and licensing agreements and the representations of start-ups and high-tech companies.
Joel has been practicing law for 45 years, specializing in Criminal, Real Estate, Commercial, Estate Probate, and other litigation matters. He graduated in the top 18% of his class at Suffolk University Law School in Boston, receiving his Juris Doctorate in 1975. Before beginning his career in law, Joel taught elementary and high school students on Long Island and in Massachusetts. He graduated from Oswego State University in 1968 with a Bachelor of Science in education.
Todd Kulkin practices in the areas of corporate, securities, and not-for-profit law. He is risk management and strategy focused, having graduated from the Financial Transactions program at University at Buffalo (SUNY) Law School in the aftermath of the 2008 financial crisis.
Since 1971, Marty has focused his practice on securities litigation and securities regulatory matters in federal and state courts and before self-regulatory organizations, including the Securities and Exchange Commission and the Commodity Futures Trading Commission. He has represented clients in lawsuits, arbitrations and administrative proceedings and investigations. Marty also represents clients in SEC and FINRA matters including formation of broker/dealers, CMA’s and expungements.
David is a member of the bar of the State of New York and is admitted to practice before the U.S. District Courts for the Southern, Eastern and Northern Districts of New York, the U.S. Court of Appeals for the Second and Ninth Circuits and the U.S. Tax Court. He serves as an arbitrator for the Financial Industry Regulatory Authority. David was formerly the Chairperson of the Securities Law Committee of the Nassau County Bar Association and has lectured and written for Public Investors Arbitration Bar Association (PIABA).
Tom McCabe has an extensive background in the securities industry. He has worked on the regulatory side of the industry as well as in private practice. He began his career in the Enforcement Division of the New York Stock Exchange. He then moved to the Market Surveillance Division and remained there until joining the American Stock Exchange Enforcement Division where he was promoted to the position of Director, supervising a staff of Enforcement attorneys who investigated and prosecuted cases involving violations of the Federal Securities Laws and the Rules and Regulations of the SEC and the American Stock Exchange.
Jon-Jorge Aras litigates securities regulatory matters in federal and state court, administrative forums, and in alternative dispute resolution settings. Jon-Jorge specializes in representing individuals and firms in investigations and enforcement actions initiated by the Securities and Exchange Commission (SEC) and the Financial Industry Regulatory Authority (FINRA). He regularly advises financial service professionals and firms facing regulatory scrutiny, employment disputes, and customer complaints.
Prior to joining Warren Law Group, Samara was an Assistant Corporation Counsel in the Tort Division of the New York City Law Department. Samara bolstered her litigation experience by representing the City of New York and its municipal agencies in tort claims in State Court. Samara managed tort cases at all stages of litigation, regularly conducted and defended depositions, and successfully argued before New York State Supreme Court.
Alexander Sirkman is a paralegal with over a decade of experience in a wide array of matters in commercial litigation, corporate transactions, and not-for-profit law. Alex received his B.A. from Columbia University in Religion & Philosophy and graduated with a J.D. from Benjamin N. Cardozo School of Law at Yeshiva University.
Emma is a rising 3L at New York Law School. At NYLS, Emma serves as the Vice President for the Sports Law Society organization, a member of the Student Ambassador program, and an affiliate of the Center for Business and Financial Law.