Investment Expert Witnesses in Rhode Island

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Investment expert witnesses practice in a variety of fields, including securities, portfolio management, and financial regulation. Some of the most common specialties include investment fraud, suitability, fiduciary duty, valuation, and risk management. They can opine on the effects of market conditions, trading strategies, disclosure failures, and regulatory breaches on investor losses.

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Average Investment Expert Witnesses Court Fees

Review Fee

Deposition Fee

Court Fee

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  • Review Fee $800/hr
    Deposition Fee $800/hr
    Court Fee $800/hr

    This experienced finance professional has background in portfolio and trust management, mutual funds, and hedge funds over a 45-year career. He earned his B.S. from the University of Pennsylvania and his M.B.A. in Finance from Harvard University. He holds several industry credentials; the expert is a Registered Investment Advisor, a Chartered Financial Analyst, and a FINRA Arbitrator. The expert began his career at J.P. Morgan before joining Citibank, where he eventually served as the Chief Investment Officer of the Global Private Bank overseeing a total of $20 billion in assets. In addition, he spent 11 years as the Chief Investment Officer of IBJ Schroder Bank and Trust, supervising 20 investment professionals serving private clients in the U.S. and Asia. The expert now supports attorneys, individuals, banks, investment advisors, broker-dealers, corporations, and the SEC in investment matters.

    President, Registered Investment Advisor for Private Clients & Litigation Consultancy

    Master of Business Administration (MBA), Harvard University

    Weston,

    Connecticut

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  • Review Fee $450/hr
    Deposition Fee $500/hr
    Court Fee $650/hr

    This C-level financial executive has 35+ years of experience in investment banking, capital markets, private equity, and business development. He is an expert in the global alternative investment industry with a BS from Boston University, an MBA from Stern at NYU, and the Level I CAIA certification. He is also a regular speaker on the international alternative investments conference circuit and has contributed to various industry publications. Most recently, the expert served as a Senior Advisor for Prospect Capital Management. He was previously the Managing Director and Global Head of Strategic Business Development at Alphabridge Capital Management and also served as a Senior Vice President with WR Group Holdings. He began his career in various I-banking and private equity positions, including roles with Merrill Lynch and National Westminster Bank.

    Investment Consultant, Independent

    Master of Business Administration (MBA), Stern School of Business, New York University

    Madison,

    Connecticut

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  • Review Fee $375/hr
    Deposition Fee $400/hr
    Court Fee $425/hr

    This expert has over 30 years of experience in investment management. He holds a BA in economics from Brandeis University and an MBA in finance and accounting from the University of California, Berkeley. Throughout his career managing portfolios and funds, he has bought and sold options and traded stocks, ETFs and mutual funds. As the former Managing Director and Portfolio Manager at Charles Schwab, he managed a $3.5B of mutual fund assets. In this role he was responsible for developing and implementing portfolio strategy, including asset allocation among multiple asset classes and selection of underlying funds. He then went on to serve as President and Chief Investment Officer for Adviser Partners, a boutique asset manager that manages equities and asset allocation products for advisers, financial institutions and family offices. He currently oversees the investment process, research activities and portfolio strategy for an investment firm in Boston, MA.

    Chief Investment Strategist, An Investment Firm in MA

    Master of Business Administration (MBA), University of California, Berkeley

    Boston,

    Massachusetts

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  • Review Fee $400/hr
    Deposition Fee $450/hr
    Court Fee $450/hr

    This highly qualified expert has over 30 years of experience in the field of risk management and insurance and asset management. He earned his BA in the history of science and his MBA in finance from the University of Chicago Graduate School of Business. He is very active in his field as a member of several professional societies including the Professional Risk Managers International Association, the Buy Side Risk Managers Group, the Investment Company Institute, and the Boston Security Analysts Society. In addition, this expert is a Chartered Financial Analyst (CFA) with over 10 publications. He formerly held many roles including portfolio manager of derivates & mortgage-backed securities at Allstate Life Insurance, head of derivative strategy and head of alternative investments at Putnam Investments, and board member of TIAA-CREF Life Insurance Company. This expert is currently a risk manager at a federal reserve bank in Massachusetts.

    Risk Manager, A Federal Reserve Bank in MA

    Master of Business Administration (MBA), University of Chicago Graduate School of Business

    Wayland,

    Massachusetts

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What Can an Investment Expert Witness Opine On?

Portfolio Diversification

Spreading investments to reduce risk.

Asset Allocation

Distributing assets among different categories.

Market Analysis

Evaluating market conditions for investment decisions.

Investment Research

Analyzing potential investment opportunities.

Risk Assessment

Evaluating potential risks in investments.

Performance Monitoring

Tracking investment performance over time.

FAQs for Investment Expert Witnesses

What is a investment expert witness?

An investment expert witness is a finance professional who explains complex investment issues in legal cases. They assist by reviewing records, giving opinions, testifying, and clarifying investment disputes.

What types of cases may benefit from the expertise of an investment expert witness?

Investment expert witnesses support securities fraud, broker misconduct, suitability, breach of fiduciary duty, portfolio mismanagement, valuation, and complex investment dispute cases.

How should counsel evaluate the credentials of an investment expert witness?

Counsel should evaluate an investment expert witness by reviewing their education, licenses, industry experience, prior testimony, publications, and case-specific investment expertise.

How can an investment expert witness assist in quantifying alleged investment losses?

An investment expert witness can quantify alleged investment losses by analyzing account records, market data, and benchmarks to calculate accurate, supportable damages figures.

What factors determine the appropriate scope of testimony for an investment expert witness?

The appropriate scope of testimony for an investment expert witness depends on their specific expertise, case issues, relevant regulations, and the evidence and methodologies they can reliably support.

What is Expert Institute’s process for selecting investment expert witnesses?

Expert Institute delivers a tailored approach to connect you with top-tier experts. We identify actively practicing professionals who meet your exact criteria for specialty, experience, litigation background, fee structure, credentials, location, and more.

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