Andrew Davitt

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Member of CLM Since: 2013

Nominated By Larry Goanos

CLM Committees

    No information available.

CLM Contributions

  • Speaker - 2014 Claims College
  • Speaker - 2014 Claims College Sponsors and Faculty Registration
  • Speaker - 2015 Claims College
  • Speaker - 2016 Claims College
  • Speaker - 2017 Claims College
  • Speaker - 2018 Claims College
  • Speaker - 2019 Claims College
  • Speaker - 2020 Claims College
  • Speaker - 2020 Claims College - Older

Articles

    No information available.

Practice Areas

  • ADR
  • Litigation Management
  • Professional Liability

Biography

As the chair of the Securities and Investment Practice Group, in addition to handling cases and securities clients, Andrew coordinates and oversees the activities of a dedicated group of lawyers throughout the firm's offices. Andrew has successfully represented investment firms, professionals, registered investment advisors, financial planners and insurance agents in matters involving business disputes, customer complaints, regulatory inquiries/ investigations, mediations, arbitrations and litigation. He has significant experience representing clients in various forums including litigation, arbitration, mediation, internal investigations, regulatory examinations and investigations.
Andrew and his group members represent the interests of FINRA member broker-dealers, registered representatives, certified financial planners, RIAs, insurance agents and brokers and other securities  and insurance industry professionals throughout the United States. As well, he is called upon by investment firms to conduct investigations and conduct seminars and presentations on timely business and investment topics. This team also counsels and represents brokers and firms on employment issues and litigation.
Andrew's background includes licensure as an insurance agent in the states of Pennsylvania and New Jersey, licensure as a real estate agent in Pennsylvania, and licensed with various states and with FINRA as a Registered Representative. He has experience as a broker with FINRA and New York Stock Exchange member investment firms as well as an independent FINRA member broker-dealer.In addition to his Series 63 and Series 7 licensure, he was licensed as an Associated Registered Investment Adviser. Andrew's work background also includes his position as Professional Liability Specialist with a major insurance company handling professional liability matters such as accountant malpractice, tax-shelter/limited partnership matters and miscellaneous professional liability litigation (directors and officers, legal malpractice, coverage).
As a lecturer and guest speaker, Andrew has made presentations for various organizations and broker-dealers in relation to securities business and practices, directors and officers and investment related matters. He has also authored numerous articles for brokerage firms, Delaware Valley Society of Financial Planners, The Defense Digest and other publications. He also serves as a securities arbitrator for FINRA and previously served on the Board of Directors for the Delaware Valley Society of the FPA which services New Jersey, Delaware and Pennsylvania. He has served as outside counsel to the Delaware Valley Society of the FPA.
Andrew graduated from Mansfield University in 1980 and completed his juris doctor in 1987 at the University of Baltimore School of Law.

Education

    No information available.

Admissions/Licenses

  • Bar Admissions: PA
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