Blaine Doyle
Professional Bio
Blaine focuses his practice on resolving complex business disputes, particularly in the financial services industry. He represents national banks, broker-dealers, and financial advisory firms in court, FINRA arbitration, and regulatory proceedings. Blaine is experienced in defending a range of financial services clients before the CME, FINRA, CFTC, SEC, NFA, and before state securities regulators.
As Summer Approaches, Landlords And Brokers Must Beware Of Rental Permit Requirements
Long Island Land Use and Zoning ·
Lost at Sea: Why FINRA’s Lack of Formal Guidance to CCOs Could Leave Them Adrift in Dangerous Regulatory Waters
Broker- Dealer Law Corner ·