Invite Supplier
Invite Supplier
Invite Supplier
Invite Supplier
Possible Duplicates
Update Company Details
Available Companies
Select the listing you wish to view or edit.
Video Recommendation
Steven M. Malina
Steven M. Malina
Products
Expertise *
Accounting
Asset Management Solutions
Clearing & Settlement
Communications & Marketing
Consulting
Insurance
Legal
Other
Professional Services
Research
Risk & Compliance
Technology/Software & Services
Wealth Management Solutions
Industry Categories *
Accounting
Asset Management Solutions
Clearing & Settlement
Communications & Marketing
Consulting
Insurance
Legal
Other
Professional Services
Research
Risk & Compliance
Technology/Software & Services
Wealth Management Solutions
Expert Type *
Expert Type
Upload a square image that is approx. 200 x 200 px in size.
Crop Image
Projects
Expertise *
Accounting
Asset Management Solutions
Clearing & Settlement
Communications & Marketing
Consulting
Insurance
Legal
Other
Professional Services
Research
Risk & Compliance
Technology/Software & Services
Wealth Management Solutions
Industry Categories *
Accounting
Asset Management Solutions
Clearing & Settlement
Communications & Marketing
Consulting
Insurance
Legal
Other
Professional Services
Research
Risk & Compliance
Technology/Software & Services
Wealth Management Solutions
Expert Type *
Expert Type
Crop Image
Add Image Caption
Crop Image
Add new card
Change Featured Content Owner
Set New Publish Date
Crop Image
Crop Image
About
Steven M. Malina
Shareholder, Greenberg Traurig
Steven M. Malina, a former Senior Attorney in the SEC’s enforcement branch, focuses his practice on a variety of litigation and regulatory matters with representations of financial services industry clients, hedge fund matters, and securities and general commercial litigation. He represents officers, directors, broker-dealers, investment advisors, commercial banks, investment banks, investment management firms, and public issuers in investigations and disciplinary proceedings initiated by the SEC, CFTC, FINRA, FDIC, NYSE, CBOE, CME, and state regulators. In addition, Steve represents clients in related investor class-action, derivative, and other litigation and arbitration. He has also conducted internal investigations on behalf of publicly traded companies and represented committees and executive officers in internal investigations. Steve has represented brokerage firms and their management in customer-initiated cases, and injunction and arbitration proceedings.
Prior to entering private practice, Steve served as First Vice President and Deputy Regional Counsel for a large financial corporation and was a Senior Attorney in the Branch of Enforcement of the U.S. Securities and Exchange Commission.
Share via
Configuration Settings
There were no global configurations
There were no listing caption configurations
Edit Configuration Parameter
Add to Lists
Edit Mode
Terms & Conditions
Loading title...
Member Perks Benefits
Sorry, but this perk is only available to members only. Consider joining and becoming a member to claim this and any other Member’s Only Perks.