Associate
Brian is an associate of the firm. His practice focuses primarily on securities litigation. He represents investment professionals and broker-dealers in customer-related disputes. Brian's practice also includes litigation in insurance, professional liability, and general business matters.
Brian is a member of the State Bar of California.
EDUCATION
- J.D., Loyola Law School, 2009
- B.A., University of California, Santa Barbara, 2005
PRACTICES
- Securities
- FINRA and SEC Regulation
PUBLICATIONS
The California Supreme Court Should Take a Mulligan: How the Court Shanked by Applying the Primary Assumption of Risk Doctrine to Golf, 29 LOY. LA. ENT. L. REV.91 (2008).