Richard Slavin

Richard Slavin

PrincipalatCohen and Wolf, P.C.

Westport, CT

Practicing business in Westport since 1977.

49+
Years practicing
5.0 ★
1 client review
2
Bar admissions

Are you Richard Slavin?

This profile was built from public bar records and is still unclaimed. Claim it free to control your photo, bio, and fees — and get client inquiries sent straight to you.

Claim this profile — free

Quick answer

Richard Slavin is a principal based in Westport, CT. The practice focuses on Business, Litigation, and Securities. Richard has over 49 years of legal experience. Currently practicing at Cohen and Wolf, P.C.. Rated 5.0 out of 5 from 1 client review.

Based in
Westport, CT
Experience
over 49 years
Known for
Business · Litigation · Securities
  • Handles Business, Litigation, and Securities matters from Westport, CT.
  • Over 49 years of practice as a licensed attorney.
  • Recognized with AV Preeminent.

About Richard Slavin: Richard Slavin is a principal based in Westport, CT. The practice focuses on Business, Litigation, and Securities. Richard has over 49 years of legal experience. Currently practicing at Cohen and Wolf, P.C.. Rated 5.0 out of 5 from 1 client review.

Areas of practice

Practice focus

Richard Slavin represents clients in Westport, Connecticut across the following areas of law. Each area links to other verified attorneys with the same focus.

Biography

About Richard Slavin

Rick brought his extensive regulatory experience to Cohen and Wolf in 1984 and founded its securities practice group. In initiating the securities practice, Rick’s goal was to be handle a broad range of securities matters building on his years as a regulator. He spent eleven years as a regulator in two states and for the United States Securities and Exchange Commission (“SEC”). Broker-dealers, investment advisers, and issuers of securities regularly hire Rick to deal with their compliance issues, draft offering documents, create their internal compliance documents, and represent them before federal and state securities regulators.

Securities Arbitration, Mediation, and Litigation

Rick is well known for his skill in arbitration and mediation in the Financial Industry Regulatory Authority (“FINRA”) forum and in financial litigation in federal and state courts. Since entering private practice Rick has defended dozens of broker-dealers and investment advisers, achieving Respondents’ and Defendants’ awards and verdicts in the great majority of his defense cases. He has also won millions of dollars of awards or settlements for Claimants in arbitration and plaintiffs in securities litigation. His practice also includes the representation of firms and registered persons in employment disputes, both in arbitration and in federal and state courts.

Representation of Registered persons and firms before regulators; Compliance

Clients have utilized Rick to draft their compliance manuals, their codes of ethics, and to guide them through regulatory examinations, on-the-record testimony before regulators, and the settlement or hearing of administrative proceedings. During his career, he has settled hundreds of cases before FINRA, state securities regulators in numerous states, and the SEC. He has also represented clients in administrative hearings before FINRA and the Connecticut Department of Banking and in the investigations which led to those hearings.

Capital formation

Issuers of securities have come to Rick over the years to prepare their offering documents. He wrote the basic private offering laws and regulations in Connecticut and Ohio and has lectured and appeared on panels countless times discussing all aspects of compliance with federal and state securities laws. Rick has prepared offering documents for hedge funds, real estate syndicators, and many start-up businesses and has handled compliance, litigation, and regulatory issues for those clients. In addition to annual recognition from clients and from his peers, Rick was named "Lawyer of the Year" by Best Lawyers in America© for Securities/Capital Markets Law in the Stamford area.

CREDENTIALS

HONORS & AWARDS

Best Lawyers® "Lawyer of the Year" for Securities/Capital Markets Law 2017, Stamford, CT Metro Area

Best Lawyers in America® 2009-2020, Securities/Capital Markets Law

Best Lawyers in America® 2011-2020, Securities Regulation

Chambers USA , Commercial Litigation, 2009 - 2016

Connecticut Super Lawyers®, Securities Litigation, 2011-2019

Martindale Hubbell, AV® Preeminent™ Peer Rating

United Way Community Builder Award, 2004

Congregation Beth El "Man of the Year", 2008

PUBLICATIONS

• Have the Changes to FINRA Arbitration Panels Helped the Customer?

09.01.2011

• Questions and Answers about Securities Arbitration

08.31.2011

• NASD Broker-Customer Arbitrations Does Connecticut Law Make a Difference?

08.31.2011

• Fairness Demands Return of Ill-Gotten Madoff Gains

Connecticut Post, 04.25.2011

• A Critical Look at Proposed Hedge Fund Legislation

02.27.2009

• "Bernie Madoff had my money. What do I do?

01.2009

COMMUNITY INVOLVEMENT

Congregation Beth El, President, 2005-2007

Connecticut Banking Commissioner's Advisory Council, 1998-present

Connecticut Legal Services, Inc., Advisory Board, 2008-2018

Connecticut Legal Services, Board of Directors and Past Chair of Fundraising, 1993-2007

Jewish Center for Community Services, Chair, 1999-2001

Jewish Community Foundation of Greater Bridgeport, Chair, 2004-2005

Legal Center for Connecticut Non-Profit Organizations, Founder

Westport Country Playhouse, Secretary, Assistant Secretary, 2008-present

PROFESSIONAL AFFILIATIONS

American Bar Association

• Business Law Section, State Securities Committee, Enforcement Section Chair, 2010-present

• Litigation Section, Securities Litigation Committee

• Litigation Section, Arbitration and Enforcement Subcommittee

Connecticut Bar Association

• Business Law Section, Executive Committee 1985 - Present

• Federal Practice Section, Executive Committee, 2003

• Business Law Section, Chairman, Securities Law Committee, 1995 - 2000

• Business Law Section, Securities Law Committee, Chairman, 1985 - 1990

Greater Bridgeport Bar Association

• Business Law Committee, Chairman, 1996 - 1998

Financial Industry Regulatory Authority (FINRA), Arbitration Board, 1985-present

National Futures Association, Arbitration Board

Credentials

Education

  • University of Akron School of Law

    J.D. · 1977

  • Case Western Reserve University

    M.B.A. Case · 1972

Jurisdictions

Bar admissions

  • Connecticut

    1984 · ACTIVE

  • Ohio

    1977 · ACTIVE

Recognition

Awards & honors

  • AV Preeminent

Locations

Office locations

Main office

Cohen and Wolf, P.C.

320 Post Road West

Westport, CT 06880

Open in Google Maps

Client feedback

What clients say about Richard Slavin

5.0

1 client review

Client ratings are sourced from public records and editorial research. Reviews on LawyersListed are accepted from verified clients once Richard Slavin claims this profile.

Read all reviews

Frequently asked

Common questions

  • What areas of law does Richard Slavin practice?

    Richard Slavin focuses on Business, Litigation, and Securities.

  • Where is Richard Slavin located?

    Richard Slavin primarily serves clients in Westport, Connecticut, with an office at 320 Post Road West.

  • How experienced is Richard Slavin?

    Richard Slavin has 49 years of legal practice, having been licensed since 1977.

  • Is Richard Slavin a verified attorney?

    Richard Slavin's profile is listed but has not yet been claimed by the attorney. Verification status is pending.

  • How can I schedule a consultation with Richard Slavin?

    You can book a consultation through LawyersListed directly from this page. Initial outreach can also be made by phone at 888-381-8856.