New York, New York
RANDALL H. STEINMEYER, Special Counsel, received a J.D. degree, cum laude, from Hamline University School of Law in 1996, where he was a member of the Hamline Law Review. He received a Bachelor of Science degree from the University of Southern California in 1993. He is a member of the bars of Minnesota and the United States District Court for the District of Minnesota. He is the author of The Interrelationship Between NASD Arbitrations and NASD Disciplinary Proceedings, 281 Practicing Law Institute (1998). Prior to joining MURRAY, FRANK & SAILER Mr. Steinmeyer was a partner with Coughlin Stoia Geller Rudman & Robbins LLP and Milberg LLP. Before that, Mr. Steinmeyer headed the securities litigation department of Reinhardt Wendorf & Blanchfield in St. Paul, Minnesota. Mr. Steinmeyer is a former securities broker and held Series 7 and Series 63 licenses with the National Association of Securities Dealers.
In 2003, Mr. Steinmeyer was a guest lecturer at Oxford University on the impact of corporate and broker dealer fraud on the investment community. He also sits on the Board of Directors of the Hedge Fund Association. He has authored numerous articles on the hedge fund industry and offshore financial community.
Mr. Steinmeyer focuses on class actions on behalf of defrauded investors.
- Areas of Practice:
- Securities Class Action
- Insurance Class Action
- Antitrust Class Action
- Consumer Class Action