Wexler Burkhart Hirschberg & Unger, LLP ("W&B") was founded by Stephen B. Wexler and Errol A. Burkhart in 1973 to represent its clients in all forms of business related transactions and litigation matters. The firm's founding principle still holds true today: Aggressive Advocacy, Proven Results. Our practice is concentrated in four major areas: Corporate & Securities Transactions; Litigation and Arbitration; Regulatory Compliance and Advisory Counseling; and Wills, Trusts and Estate Planning.
Our clients include brokerage firms, investment banks, public companies, hedge funds, real estate developers, privately held businesses, insurance companies and individuals. Clients choose W&B because our attorneys are experienced in the law and also have direct experience in a variety of the businesses we service. This provides our clients with a unique perspective and the comfort of knowing that W&B's attorneys consider the matter at hand as well as the future of their client's business.
FINRA Rule 2273 requires broker-dealers to send "educational communication" to former customers of registered representatives.
Our clients include brokerage firms, investment banks, public companies, hedge funds, real estate developers, privately held businesses, insurance companies and individuals. Clients choose W&B because our attorneys are experienced in the law and also have direct experience in a variety of the businesses we service. This provides our clients with a unique perspective and the comfort of knowing that W&B's attorneys consider the matter at hand as well as the future of their client's business.
FINRA Rule 2273 requires broker-dealers to send "educational communication" to former customers of registered representatives.
Services
For over 40 years, Wexler Burkhart Hirschberg & Unger, LLP has been serving the needs of its client by providing the highest level legal representation in an economical, efficient and client-focused manner.
Every matter the firm takes on is supervised or serviced directly by a partner experienced in the relevant field.
Associates are staffed on matters based on their experience, relationship with the client and need.
The effectiveness of our system is proven by our results and the longevity of our relationships with our clients.
Every matter the firm takes on is supervised or serviced directly by a partner experienced in the relevant field.
Associates are staffed on matters based on their experience, relationship with the client and need.
The effectiveness of our system is proven by our results and the longevity of our relationships with our clients.
We are dedicated to providing our clients with the finest professional service at a reasonable cost.
Our size enables us to staff and complete matters more efficiently than many larger firms, and facilitates consultation and cooperation among our lawyers.
The attorneys at our firm separate us from the competition.
For over 30 years, our firm has been providing legal advice to the Financial Services Industry at both the industry and customer levels.
The depth and scope of our experience give our clients a deep reservoir of knowledge and fluency not only in the legal issues that surround securities litigation but a practical understanding of the Financial Markets and the underlying instruments and investments available therein.
Our size enables us to staff and complete matters more efficiently than many larger firms, and facilitates consultation and cooperation among our lawyers.
The attorneys at our firm separate us from the competition.
For over 30 years, our firm has been providing legal advice to the Financial Services Industry at both the industry and customer levels.
The depth and scope of our experience give our clients a deep reservoir of knowledge and fluency not only in the legal issues that surround securities litigation but a practical understanding of the Financial Markets and the underlying instruments and investments available therein.
Steve is our Managing Partner and one of the founding members of Wexler, Burkhart, Hirschberg & Unger, LLP.
He is also the head of the firm's litigation and securities practices.
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).
He is also the head of the firm's litigation and securities practices.
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).
David co-chairs our appellate litigation, real estate, and securities arbitration practices, where he has extensive experience in representing broker-dealers, customers, and account executives.
David also presides over all firm general commercial litigation in state and federal courts at both the trial and appellate levels.
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).
David also presides over all firm general commercial litigation in state and federal courts at both the trial and appellate levels.
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).
Marty is a Partner in the firm's litigation and securities practice.
A well-seasoned practitioner, he brings years of complex litigation experience from his prior experience with Blank Rome, LLP and Certilman Balin Adler & Hyman, LLP.
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.
A well-seasoned practitioner, he brings years of complex litigation experience from his prior experience with Blank Rome, LLP and Certilman Balin Adler & Hyman, LLP.
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.
Reviews
Be the first to review Wexler Burkhart Hirschberg & Unger.
Write a Review