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Mr.Slavens has aggressively represented investors and consumers in multimillion-dollar class actions and individual cases for nearly a decade. Through his creative litigation and trial tactics, Mr. Slavens has participated in the recovery of over of $20 million for the benefit of his clients and class members.
Mr. Slavens has extensive experience arbitrating cases before FINRA arbitration panels, and litigating individual cases and class actions in federal and state court. Some of Mr.Slavens' recent successes include recovering more than $1.5 million dollars for a group of investors in promissory notes sold by a national broker dealer. The case started as a class action and after class certification had been denied, Mr. Slavens orchestrated a joint FINRA arbitration, filing on behalf of more than fifteen investors. He managed to recover nearly 100% of his clients' losses.
In another case, Mr. Slavens negotiated a multimillion-dollar settlement on behalf of nearly twenty (20) investors relating to their claims against a broker-dealer that participated in the sale of hedge fund shares that turned out to be one of the largest Ponzi schemes in recent memory, totaling more than $400 million. Mr.Slavens managed to recover a significant portion of his clients loses and resolved the case favorably before trial.
Earlier in his career, he played a key role in a class action against two of the largest law firms in the country, recovering more than $6 million on behalf of investors. He and partner James Krause successfully achieved class certification and resolved the case favorably before trail.
Over the years, Mr.Slavens has been invited to speak about investor rights and the FINRA arbitration process. For example, he was invited to USD School of Law to make a presentation to the Securities law class on the procedures for filing a FINRA arbitration, managing the case from start to finish, and developing themes and a winning strategy.
Mr.Slavens is also active in the legal community and has devoted substantial time to community programs such as the volunteer lawyers program of San Diego, where he participated as a panelist on issues relating to the brokerage industry and corporate scandals, and has provided substantial pro bono services to local non-profit organizations. He has written articles on whistle-blower standing under the RICO statutes and third-party liability for securities fraud titled "They Heard it Through The Grapevine" published in trial Bar News.
San Diego Law Lawyer |