About Timothy J.

Timothy J — Dennin practices securities law in Northport, New York. He is the founder of TIMOTHY J. DENNIN, P.C., where he specializes in securities law and stockbroker and investment fraud cases. His firm is dedicated to providing clients with comprehensive legal representation in these complex areas of law. The firm addresses issues ranging from regulatory compliance to disputes involving investment losses, ensuring that clients receive tailored solutions for their legal challenges. He earned his J.D.

from St. John's University School of Law in 1983, where he focused on law including securities law. Prior to that, he obtained a B.A. in History and Liberal Arts from the College of the Holy Cross in 1978. His educational background laid a strong foundation for his legal career, equipping him with the analytical skills necessary for navigating the details of securities law. Timothy's legal career began in 1984 when he served as an Assistant District Attorney — This role provided him with valuable courtroom experience and insight into the prosecution process.

He transitioned to private practice in 1987 and has since built a reputation for his expertise in securities law. His experience includes representing clients in various legal matters related to investment fraud and stockbroker misconduct. Most of his work involves advising clients on compliance with federal and state securities regulations. He also represents individuals and businesses in disputes with brokerage firms and financial advisors. Cases typically involve claims of misrepresentation, breach of fiduciary duty, and unauthorized trading. Timothy's approach is detail-oriented, focusing on the specific circumstances of each case to develop effective legal strategies.

Before establishing his own practice, Timothy gained significant experience working in various legal capacities. His background includes nearly three decades of experience as a lawyer, with a focus on securities law since 1990. This experience allows him to navigate complex legal fields and advocate for his clients' interests. He is a member of various professional associations, which keeps him updated on the latest developments in securities law. Timothy is committed to maintaining high ethical standards and providing exceptional service to his clients. His practice is characterized by a dedication to understanding the needs of each client, ensuring that they receive the best possible legal representation.

Education

St. John s University School of Law

J.D. (1983) | Law including Securities Law

1981

College of the Holy Cross

B.A. (1978) | History, Liberal Arts

1974

Experience

Lawyer

Timothy J. Dennin, P.C.
1990

Lawyer

Securities and Exchange Commission, Division of Enforcement
1987

Assistant District Lawyer

Nassau County District Lawyer Office
1984

Accepted Jurisdictions

New York
Massachusetts

Court Admissions

New York State Supreme Court State Supreme Court
U.S. District Court for the Eastern District of New York U.S. District Court
U.S. District Court for the District of Massachusetts U.S. District Court

Types of Cases Handled

securities law stockbroker and investment fraud

Legal Services Scope

Regulatory compliance Disputes