Brian is a shareholder practicing out of Reminger’s Cleveland and Indianapolis offices. He is the Chair of Reminger’s Business & Commercial Litigation and eDiscovery Practice groups and a leader in the firm’s Securities/Financial Services Litigation group. His national litigation practice focuses on securities/financial services litigation and arbitration, business and commercial litigation, and directors and officers liability litigation, which involves representation of clients in federal and state court and in FINRA/AAA arbitration proceedings.
Brian also has experience representing clients in the financial services industry in government regulatory investigations and enforcement actions brought by FINRA, the Securities and Exchange Commission, professional boards (e.g, the CFB Board), the department of securities, the department of insurance, and the Internal Revenue Service.