Martin Quinn Ryan
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Martin Q. Ryan received his undergraduate degrees from Northwestern University in 1991 and his J.D. from the University of Illinois-Chicago Law School in 1995. While attending law school, Mr. Ryan worked with an entertainment management company which primarily represented musicians, artists and talent, was an extern for the U.S. Attorney's Office for the Northern District of Illinois and was the recipient of American Jurisprudence Awards. Since 1995, Mr. Ryan has concentrated his practice in commercial and securities litigation, futures and commodities arbitration, professional malpractice, directors' and officers' liability, and ERISA related litigation. He has represented securities broker-dealers, registered investment advisers, futures commission merchants, SWAP dealers, commodities brokers, registered representatives, insurance agents and brokers, as well as corporate directors and officers, fiduciaries, accountants, attorneys, and other professionals. Mr. Ryan also has experience representing the rights of creditors, both in court, arbitration and bankruptcy. Mr. Ryan currently devotes a substantial portion of his practice to litigation, both in state and federal court, and arbitration, before dispute resolution tribunals of the FINRA, NFA, AAA, CFTC, CME, SIAC, GAFTA and HKIAC. Mr. Ryan also has significant experience representing the financial services industry, registered representatives and investment adviser representatives in regulatory proceedings brought by the SEC, FINRA, CFTC, NFA, CME, ICE, IDHR, IDES, and state regulators.