Attorney John C. Barlow
Highly Experienced Illinois Securities Lawyer
At the office of John C. Barlow, Esq., Attorney at Law, I offer considerable experience and knowledge to individuals throughout the United States who face securities arbitration or mediation, including situations involving allegations of stockbroker misconduct.
I bring 33 years of focused experience in securities law to your situation:
- I served two years as an enforcement attorney with the Illinois Secretary of State’s Securities Department.
- I served 18 years as a staff attorney, Regional Director and Associate Vice President with the Financial Industry Regulatory Association Dispute Resolution Inc. (FINRA), formerly known as the National Association of Securities Dealers (NASD).
- I opened my own law practice in 2004, dedicated exclusively to plaintiff representation in securities and investor fraud.
I have extensive experience in securities arbitration, at FINRA and in my own law practice. In fact, I trained many of the arbitrators on the current FINRA arbitration panels. I also trained as a mediator at FINRA, with subsequent mediation training in private practice. Most of my new cases come to me as referrals from other attorneys or from satisfied clients, who distinctly benefit from my “insider’s” background in this complex and specialized area of the law.
To learn more about my professional history, click on the link below to see my profile.
I provide a free initial consultation. To set up an appointment, contact me online or call me at (312) 214-3365. I take most cases on a contingent fee basis, only charging legal fees if I recover compensation for your losses.