Christopher Louis Lufrano
Attorney at Law
School of Law
Over the course of the last several years, Mr. Lufrano has represented hundreds of clients and recovered over $10 million on behalf of his clients.
Lufrano Law, LLC
Jun 2014 - Present
Lufrano Law, LLC is a national securities fraud, securities arbitration, investor protection and regulatory defense law firm with offices in Oak Park, Illinois. Our securities and investment fraud attorneys represent investors in FINRA arbitrations in Illinois, New York and nationwide. Our real estate attorneys represent landlords and real estate purchasers and sellers locally in Illinois.
We bring passion and a unique perspective to the law that separates us from other law firms because we have practical experience that we leverage to fight zealously for our clients' interests.
Apr 2013 - May 2014
Represent foreign and domestic investment banks in connection with SEC, DOJ and FINRA enforcement actions and regulatory inquiries involving underwriting, trading and marketing business practices.
Napoli Bern Ripka Shkolnik, LLP
Securities and Commercial Litigation Attorney
Sep 2010 - Apr 2013
Represent individual and institutional clients in securities arbitration and commercial matters in all forums, including FINRA, JAMS, AAA, state and federal court.
John Jay Legal Services, Inc.
Sep 2009 - Dec 2010
Provided pro bono legal representation to clients of limited means in FINRA arbitrations.
Hon. Robert Gigante
Jun 2009 - Aug 2009
Observed settlement conferences, civil and criminal trials, and jury selection proceedings. Conducted legal research, made recommendations to judges, and drafted opinions.
Drafted portions of judicial opinion published in the New York Law Journal, concerning a guardianship matter.
Operations Analyst / Fixed Income Trader
Nov 2005 - May 2009
Traded foreign-denominated bonds, foreign currency, gold and silver futures, and precious metals.
Co-managed a precious metals business with $130 million in customer assets and $2 billion in annual transactions; and responsible for implementing negotiated agreements with Global Wealth Management clients, external broker dealers, counterparties, and depositories.
Obtained Series 7 and 63 licenses.