Justin’s litigation practice focuses on national and statewide putative class actions and complex commercial disputes. Justin has defended putative class actions throughout the United States, including in Arizona, California, Florida, Illinois, Maine, Michigan, Minnesota, New Jersey, New York, Pennsylvania, Utah, and West Virginia.
Justin has represented clients in the banking, investment management, brokerage, mortgage servicing, and consumer finance industries against claims alleging violations of the Securities Act of 1933, Securities Exchange Act of 1934, Investment Company Act of 1940, Employee Retirement Income Security Act, Fair Credit Reporting Act, Fair Debt Collection Practices Act, Truth in Lending Act, and various state unfair trade practices statutes. He also represents financial institutions on trust issues and loan servicers regarding inquiries by the United States Trustee and chapter 13 trustees in bankruptcy.
Justin also defends clients in the health care industry against putative class actions asserting claims relating to data security incidents and digital tracking, as well as alleged violations of the Telephone Consumer Protection Act.
Additionally, Justin advises clients on corporate witness preparation and issues involving the attorney-client privilege and the work product doctrine.
Prior to attending law school, Justin worked as an investment banker in New York City.