About Timothy A. White

Tim White is an associate in the Litigation practice that focuses on financial services litigation. He represents broker-dealers, trading firms, investment advisers and others in the financial services industry in litigation and regulatory matters.

Tim has litigated a broad range of private and regulatory matters, including matters that are common in the financial services industry and matters touching on emerging issues regarding disruptive trading and market manipulation. He has experience drafting dispositive motions, Wells responses and white papers, assisting with evidentiary hearings in FINRA arbitrations and analyzing trade data.

Tim has experience with financial services matters involving volatility-related products, options, futures and commodities. He has assisted with regulatory investigations conducted by the SEC, CFTC, FINRA, and equities and futures exchanges.

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Practice Focus

  • Regulatory investigations
  • Securities fraud class actions
  • Market manipulation claims
  • Margin-related disputes
  • Arbitrations