Dr. Ronald W. Cornew
President and Senior Consultant, Market Consulting Corporation
3920 Hardie Rd
Miami, FL 33133
888-397-9867 (888 EXP WTNS)
Securities, Futures & Options, investments suitability where applicable, lack of supervision, churning, unauthorized trading, breach of fiduciary duty. Industry rules, standards and practice, compliance issues. Limited partnerships, public and private offerings, managed futures. Duties of CFAs and other individuals and companies acting as advisors under securities and insurance or derivatives regulations. Other legal or economic work involving offering documents, marketing or new product development. Damage calculations.
Dr. Ronald Cornew provides expert financial and litigation consulting services to attorneys who represent plaintiffs/claimants and defendants/respondents nationally, including appearances in state and federal court in numerous states, various arbitration and commission proceedings and the U.S. Tax Court.
He has over two decades of experience in a broad range of financial industry specialties with directly relevant background to guide the development of the factual side of the case and applicability of related laws and regulations, prepare reports, and provide expert testimony in hearings and court hearings.
Along with legal dispute resolution, Dr. Cornew’s consulting experience has included review of customer complaints for major brokerage firms and assignments for the New York Stock Exchange (NYSE), the Chicago Mercantile Exchange Group including each of its Designated Contract Markets, the Chicago Mercantile Exchange (CME), the Chicago Board of Trade (CBOT), the New York Mercantile Exchange (NYMEX), and the New York Commodity Exchange (COMEX), as well as the Options Clearing Corporation (OCC), the Teachers Insurance and Annuity Association / College Retirement Equities Fund (TIAA/CREF), banks and other major financial clients.
Dr. Cornew has served the American Arbitration Association, the National Futures Association and FINRA as both a panelist and Chairperson in securities and futures-related arbitrations. He has served as well as an industry consultant, a University Finance Professor, and an international lecturer on U.S. market regulation.