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  • The Stark & Stark Investment Management & Securities practice understands the legal and practical issues confronting investment professionals in providing advice and counsel for investment adviser regulations, security arbitration, litigation and enforcement, broker-dealer regulations, investment company and hedge funds, investment banking & venture capital and corporate governance.

    Attorneys in the Investment Management & Securities Practice Group include a former enforcement attorney from a state securities agency, a former mutual fund and broker-dealer compliance director and corporate secretary, and a member of the NYSE and NASD Boards of Arbitrators.

    Investment Adviser Regulation

    The Investment Management & Securities Practice Group’s Investment Adviser Regulation practice represents investment advisers, financial planners, and certified public accounting firms throughout the United States. Our attorneys regularly speak on relevant issues at industry compliance seminars and CPA-CPE programs, and in local and national media. The Investment Adviser Regulation area also involves representing advisers before the SEC, CFTC and the Department of Labor. We have experience in obtaining exemptive, no-action and interpretive relief, assisting clients in regulatory examinations and representing them in enforcement actions.

    Over the past ten years, Stark & Stark attorneys have presented numerous investment-related seminars to investment advisers, financial planners, and accountants on matters such as investment adviser registration, investment advisory agreements, investment suitability, state/federal compliance issues, the avoidance of client and regulatory complaints, and potential conflicts of interest.

    Small to medium size clients often rely upon us as an “outsourced” legal counsel and compliance adviser, providing services to many investment advisers at a great savings over the cost of hiring and maintaining a legal department. We regularly assist the legal and compliance departments of medium to large size investment advisory firms and represent large advisors with significant internal legal capabilities who seek to leverage our extensive experience in complex issues and the latest developments.

    We have been an active counselor in numerous transactions involving the purchase, sale, or merger of investment advisory practices.

    Securities Arbitration, Litigation & Enforcement Matters

    Our Securities Arbitration and Litigation lawyers, together with other Stark & Stark attorneys from a broad array of legal disciplines, handle complex litigation matters, shareholder derivative suits, arbitrations, regulatory investigations and proceedings, parallel criminal and civil proceedings, sales practices claims, employment discrimination claims, U-4 and U-5 defamation claims, unfair competition, markups and other claims of sales practice violations. The range of proceedings includes subpoena enforcement, administrative hearings, SRO disciplinary proceedings and others.

    Broker-Dealer Regulation

    Our Broker-Dealer Regulation attorneys assist clients with the formation of and ongoing compliance matters pertaining to securities broker-dealers, representing broker-dealers and other securities professionals in their capital market transactions and regulations, advising them on all aspects of U.S. federal and state securities and commodities laws, including regulation by the national securities exchanges, FINRA and other self-regulatory organizations, and assisting them with respect to regulatory audits, continuing education, licensing, and enforcement matters.

    Investment Company / Hedge Fund

    Our Investment Company/Hedge Fund unit has significant experience in both the Investment Company Act of 1940 and the Investment Advisers Act of 1940. We regularly provide advice regarding securities, derivatives, tax, ERISA, litigation and other legal matters to a variety of registered investment companies and hedge funds. Additionally, we provide assistance with the formation and operation of mutual funds, hedge funds, venture capital funds, and other private equity and commodity pools and also provide compliance services, including analysis and development of compliance policies and procedures, compliance audits, and draft disclosures and responses to SEC examinations and document requests. Our attorneys have acted as counsel to limited liability companies, commodity pools, and open-end and closed-end funds registered with the SEC.

    Company Governance

    As an extension of Stark & Stark’s Investment Management & Securities Practice, our Company Governance attorneys assist clients of the firm with the establishment of various entities, including corporations, limited partnerships, general partnerships, limited liability companies, business trusts, and other companies. Our guidance and support continues through the issuance of securities, preparation of company minutes and resolutions, and assistance with change of control and related matters involving governance of the entity.

    Investment Banking / Venture Capital

    The Investment Banking/Venture Capital practice is called upon to represent entrepreneurs starting up new enterprises, and assists them in every step of the process, from initial strategies and review of business plans, through negotiation with funding sources, working on various rounds of financing and private placements through initial public offerings and secondary public offerings.

    Contact an Investment Management & Securities Attorney today.

    Additional Services

    Key Contact

    Stephen A. Galletto
    609.895.7394
    Joseph C. Antonakakis

    Joseph C. Antonakakis

    Associate
    609.945.7681
    Brian A. Carlis

    Brian A. Carlis

    Shareholder
    609.895.7313
    Stephen A. Galletto

    Stephen A. Galletto

    Shareholder
    609.895.7394
    Thomas D. Giachetti

    Thomas D. Giachetti

    Shareholder
    609.895.7255
    Jeffrey A. Lang

    Jeffrey A. Lang

    Shareholder
    609.219.7452
    Ronald B. Minsky

    Ronald B. Minsky

    Associate
    609.895.7392
    Mittal Patel

    Mittal Patel

    Associate
    609.945.7639
    Business & Commercial Law Blog
    April 9, 2026
    The March 31 deadline for the annual Form ADV updating amendment has finally passed for advisers with a December 31 fiscal year end. Filing the...
    Business & Commercial Law Blog
    April 1, 2026
    Per the SEC’s 2026 examination priorities, regulators are placing a greater focus on registered investment advisers’ (“RIA”) compliance...
    Business & Commercial Law Blog
    March 26, 2026
    In November 2025, the Trump administration's Department of Labor withdrew its defense of the Biden-era 2024 Fiduciary Rule (formally, the Retirement...
    Business & Commercial Law Blog
    January 8, 2026
    The Securities and Exchange Commission’s Division of Examinations (the “Division”) issued a Risk Alert titled “Additional Observations...
    Business & Commercial Law Blog
    November 20, 2025
    The U.S. Securities and Exchange Commission (the “SEC”) Division of Examinations (the “Division”) released its 2026 examination priorities,...
    Podcast
    March 30, 2026
    SEC examinations often focus on how registered investment advisors design, implement, and document their compliance programs. In this episode of...
    Podcast
    February 24, 2026
    Registered investment advisors face increasing scrutiny under the SEC’s marketing rule, particularly around testimonials, endorsements,...
    Podcast
    January 13, 2026
    Registered investment advisers handle a steady stream of compliance tasks across the year — not just at exam time. In this Adviser Intelligence...
    Podcast
    January 13, 2026
    Technology is changing how registered investment advisers operate—and it’s creating new compliance pressure points. In this episode of Adviser...
    Podcast
    January 12, 2026
    This video, “The ADV Trap: Common Mistakes That Could Cost You—And How to Avoid Them,” offers an educational overview of how registered...

    Firm Highlights

    Stark & Stark Joins Growing Coalition of Law Firms in Defense of Constitutional Principles and the Independence of the Legal Profession

    Stark & Stark has joined hundreds of fellow law firms across the country in filing an amicus brief supporting Perkins Coie, WilmerHale, Jenner...

    Stark & Stark Attorneys Recognized as New Jersey “Super Lawyers” and “Rising Stars” in 2026

    Stark & Stark is pleased to announce that 15 of its attorneys have been selected for inclusion in the list of 2026 New Jersey Super Lawyers,...

    Bruce Stern, Esq. Secures $1,000,000 Settlement in Motor Vehicle Collision Case

    Bruce Stern, Esq. recently secured a $1,000,000 settlement in a motor vehicle collision case.* “This case highlights how quickly things can go...

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    Stark & Stark is pleased to announce that Deborah Dunn, Esq., Shareholder and Civil Trial Attorney, has been elected to the Board of Directors...

    Michael Jordan, Esq. Joins the Board of the Lawrence Township Community Foundation

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    Stark & Stark Opens Newtown, Pennsylvania Location

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    Joseph Lemkin, Esq. Named to ROI-NJ Influencers: Power List 2026 – Law

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    Jeffrey A. Krawitz, Esq. and Michael C. Ksiazek, Esq. Secure $1,000,000 Settlement in Medical Malpractice Wrongful Death Case

    Jeffrey A. Krawitz, Esq. and Michael C. Ksiazek, Esq. recently secured a $1,000,000 settlement in a medical malpractice wrongful death...

    Joseph Cullen, Esq. and Nicole Durso, Esq. Secure $2,000,000 Settlement in Personal Injury Matter

    Joseph Cullen, Esq. and Nicole Durso, Esq. recently secured a $2,000,000 settlement in a personal injury matter involving a pedestrian who was struck...

    Stark & Stark Welcomes Susan L. Swatski, Esq. to the Firm

    Continuing in its mission to provide its clients innovative legal solutions to meet their needs, Stark & Stark PC, announced today that Susan L....

    Tim Duggan Wins Eminent Domain Challenge – Case Dismissed

    We are pleased to share that Tim Duggan of our Condemnation, Redevelopment, and Eminent Domain Group was successful in protecting the owner of a...

    James Creegan, Esq. Appointed to Board of The 200 Club of Mercer County

    It is our pleasure to announce that James Creegan, Esq. has been appointed to the Board of Directors of The 200 Club of Mercer County, an...