About the Business
Quinn Law Group
The Quinn Law Group offers legal and compliance services to investment advisers, broker-dealers, and insurance producers. Our mission is to provide representation to these financial services firms and professionals, helping them to adhere to federal and state securities and insurance laws, such as the 1933 and 1934 Acts, the Investment Advisers Act of 1940, the Investment Company Act of 1940, SEC regulations, FINRA codes, and state blue sky and insurance laws and regulations.
We also represent clients in financial services-related litigation or arbitration before federal and state courts, industry arbitration panels, and agency administrative tribunals. Our team has extensive experience in this area, allowing us to effectively assist our clients with their legal needs.

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- Located in Philadelphia, Pennsylvania, the Quinn Law Group offers legal representation and compliance services to financial services firms and professionals, including registered investment advisers (RIAs), investment companies (mutual funds and exchange-traded funds), broker-dealers, licensed securities agents and insurance producers. Specifically, Quinn Law Group assists clients in complying with federal and state securities and insurance laws, such as the 1933 and 1934 Acts, the Investment Advisers Act of 1940, the Investment Company Act of 1940, FINRA codes, SEC regulations, or state securities (blue sky) and insurance statutes. Quinn Law Group further provides litigation and arbitration services, representing financial firms and professionals in response to litigation and arbitration matters before courts, arbitration panels and administrative tribunals.
- (484) 354-8080
- 1515 Market St Ste 1200, Philadelphia, PA 19107
- Visit Website
Opening Time
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Mon
8:00 AM - 6:30 PM
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Tue
8:00 AM - 6:30 PM
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Wed
8:00 AM - 6:30 PM
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Thu
8:00 AM - 6:30 PM
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Fri
8:00 AM - 6:30 PM
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Sat
8:00 AM - 6:30 PM
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Sun
8:00 AM - 6:30 PM