Craig Riha is an associate with CMD. Craig has a decade of experience in successfully defending stock brokerage firms and individual brokers in FINRA arbitrations and has dealt with every conceivable type of sales practice case/violation throughout the United States. Craig also represents clients in disciplinary proceedings brought by FINRA, SRO investigations, expungement proceedings, compensation and severance disputes, and all manner of securities and general litigation before State and Federal Courts. Craig is a legal tactician who creatively designs strategies to accomplish client goals in the most efficient manner possible.
Craig received his B.S. in Mathematics from Hofstra University in 2005 and his J.D. from Hofstra University Law School in 2008.
Craig is admitted to practice before the Courts of the State of New York and the Eastern and Southern District of New York.