Tanya D Urbach is not a dermatologist: *Nomin
Post# of 148154
*Nominated Fellow to the Litigation Counsel of America, 2009
*Named as one of The Best Lawyers in America®, Commercial Litigation, 2013 – 2015
*Named as one of The Best Lawyers in America®, Securities Litigation, 2015
*Selected “Local Litigation Star” by Benchmark Litigation, Antitrust, Commercial Litigation, Securities, 2015
*AV Preeminent in Martindale-Hubbell Peer Review Ratings™
*Securities Licenses: Series 7, 2015; Series 66, 2015; Series 24, 2016; Series 79, 2016
*Awarded Third Degree Black Belt in Taekwondo by Kukkiwon World Taekwondo Headquarters, 2015
*Foreign Languages: Chinese (Working Knowledge); French (Working Knowledge)
Tanya D. Urbach is an affiliate expert for the Bates Group, a leading provider of securities litigation support, regulatory and compliance consulting, and forensic accounting services to Fortune 500 Companies. Tanya uses her extensive background in the securities industry to provide expert witness testimony on state and federal regulation of securities and on regulatory compliance and supervisory issues related to broker-dealers and investment advisers.
Tanya is a litigator with an emphasis in financial institution defense and litigation. While in private practice, Tanya represented broker-dealers, investment advisers, registered representatives, and other securities professionals in civil disputes and regulatory matters, regarding violations of state and federal securities laws, violations of rules of regulatory and self-regulatory organizations, and financial fraud. She has also routinely provided compliance advice and counsel to broker-dealer and investment advisory firms, as well as representing banks and credit unions in banking and trust litigation, including defending consumer claims under fair debt collection statutes, the Truth-in-Lending Act, Consumer Protection Act, breach of contract, and common law fraud.
As the former Deputy Commissioner of Securities for Vermont, Tanya prosecuted regulatory investigations into securities fraud. Prosecutions included internet-based securities fraud, identity theft and Ponzi schemes, broker-dealer and investment adviser misconduct, including point of sale violations, market timing in mutual funds and variable annuities, market manipulation, and abusive short-selling. As Vermont’s securities regulator, Tanya was also responsible for investor education initiatives, registration of securities, licensing of securities firms and their representatives as well as overseeing the broker-dealer and investment adviser examination process. She proposed and prosecuted through the state legislature a New Uniform Securities Act, which Vermont ultimately enacted. During her time as a regulator, Tanya was also a member of the board of directors and on the broker-dealer section of the North American Securities Administrators Association.