Wall Street Fraud
About the Editor
About Debra G. Speyer, Esq.
Category: About the Editor
Before going into private practice in 1990, Debra was an attorney with the Enforcement Division of the National Association of Securities Dealers (NASD) prosecuting brokerage firms and stockbrokers for investment fraud and regulatory violations. Prior to that, she was an attorney and vice president with Thomson McKinnon Securities, Inc., an international brokerage firm which later merged with Prudential Securities. While at Thomson McKinnon, she passed every stockbroker and brokerage firm examination that the securities industry offered, including all options and commodities examinations.
