Steven Malina
USA Guide 2024
Band 2 : Litigation: Securities
Email address
[email protected]Contact number
312.476.5133Share profile
Band 2
About
Provided by Steven Malina
Practice Areas
Litigation
Financial Services Litigation
Financial Regulatory & Compliance
Banking & Financial Services
Securities Litigation
Federal Regulatory & Administrative Law
White Collar Defense & Special Investigations
Career
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.
Concentrations:
Financial services litigation
Financial services regulatory
Securities class action litigation
Corporate internal investigations and compliance
Commercial litigation and arbitration
Wrongful termination and compensation disputes
Anti-money laundering
Professional Memberships
Member, Midwest Chapter of the Association of Securities and Exchange Commission Alumni; Regional Co-Chair, 2015-2017; Co-Chair, 2008-2009
Member, American Bar Association; Former Editor, Securities Litigation Committee's Annual Broker-Dealer Litigation Survey
Member, Chicago Bar Association
Member, Illinois Bar Association
Member, Securities Industry Association Compliance and Legal Division
Member, National Society of Compliance Professionals
Publications
Listed, Chambers USA Guide, Litigation: Securities, 2021-2022
Personal
J.D., University of Illinois College of Law
M.B.A., University of Chicago
A.B., University of Michigan
Chambers Review
USA
Steven Malina comes recommended for his sophisticated representation of clients in securities litigation, in which he frequently handles derivative claims and shareholder class actions.
Strengths
Provided by Chambers
"Steven is client-oriented and a very good, pragmatic lawyer."
"Steven is client-oriented and a very good, pragmatic lawyer."