Kaufman Dolowich & Voluck, LLP

Trusted Attorneys in Chicago

Email:Kaufman Dolowich & Voluck, LLP

Web Site: https://www.lawyerdb.org/lawfirm/kaufman-dolowich-voluck-llp-chicago/

Phone:

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Address: 135 South LaSalle Street, Suite 2100, Chicago, IL 60603

Fee: $-$$$

Business Hour: Mo-Fr 09:00-17:00

Attorneys in Firm: 5

Establish Year: 1986

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Lawyers in Kaufman Dolowich & Voluck, LLP

Practice Area: Professional Liability Defense, Insurance, Employment Practices Liability, Fiduciary Law, Agents, Brokers, Lawyers, Miscellaneous Professional Liability, General, Products Liability, Insurance Coverage, Toxic Torts, Construction Law, Labor and Employment, Appellate Practice, ATM Networks, Banks and Banking, Business Law, Business Litigation, Commercial Law, Complex and Multi-District Litigation, Contracts, Breach of Contract, Commercial Contracts, Contract Litigation, Contract Fraud, Corporate Law, Environmental Law, Financial Institutions Litigation, Finance, Fidelity and Surety, Fidelity and Surety Bonds, Insurance Agents and Brokers Errors and Omissions, Insurance Agents and Brokers, Malpractice, Legal Malpractice, Legal Malpractice Defense, Insurance Defense, Internet Law, Legal Negligence, Legal Professional Liability, Litigation, Mortgage Law, Nonprofit and Charitable Organizations, PPH Litigation, Professional Liability, Accountants Liability, Accountants Malpractice, Agents and Brokers Errors and Omissions, Agents and Brokers Liability, Appraisers Liability, Architects and Engineers Errors and Omissions, Architects and Engineers Liability, Architects and Engineers Malpractice, Auditors Malpractice, Design Professionals Errors and Omissions, Design Professionals Liability, Design Professionals Malpractice, Directors and Officers Errors and Omissions, Directors and Officers Insurance Coverage, Directors and Officers Liability, Professional Conduct, Professional Discipline, Professional Errors and Omissions, Professional Indemnity, Professional Liability Insurance Coverage, Professional Malpractice, Professional Negligence, Professional Sexual Misconduct, Surveyors Malpractice, Property Law, Real Estate, Securities Law, Broker-Dealer Arbitration, Broker-Dealer Registration, Broker-Dealer Regulation, FINRA Arbitration, Mortgage Backed Securities, SEC Enforcement, Securities Arbitrage, Securities Arbitration, Securities Fraud Arbitration, Securities Fraud Class Actions, Securities Investor Protection Act, Securities Litigation, Securities Offerings, Securities Registration, Securities Regulation, Shareholder Disputes, Securities Class Actions, Securities Finance, Securities Fraud

About: Trusted Attorneys in Chicago

Former Firm Names: We are proud to continue serving clients under our established name.

Clients: Chartis, ACE Westchester Specialty Group, AIG Insurance Company, Arch Insurance Group, AXIS US Insurance, CHUBB Group of Insurance Companies, C.N.A. Insurance Company, Darwin Professional Underwriters, GAB Robins Insurance Company, Gulf Insurance Company, Liberty International Underwriters, Lloyd's of London, Professional Indemnity Agency, Inc., RLI Insurance Company, Specialty Risk Services, Starnet Insurance Company, St. Paul Travelers, and The Hartford Insurance Company. Chartis, ACE Westchester Specialty Group, AIG Insurance Company, Arch Insurance Group, AXIS US Insurance, CHUBB Group of Insurance Companies, C.N.A. Insurance Company, Darwin Professional Underwriters, GAB Robins Insurance Company, Gulf Insurance Company, Liberty International Underwriters, Lloyd's of London, Professional Indemnity Agency, Inc., RLI Insurance Company, Specialty Risk Services, Starnet Insurance Company, St. Paul Travelers, and The Hartford Insurance Company.

Other Office Locations: We offer remote legal services and assist clients anywhere.

References: References are shared directly with clients to ensure confidentiality.

Team Members

FAQ

Frequently Asked Questions
Q: Where is the law firm located?
A: The law firm is located at 135 South LaSalle Street, Suite 2100, Chicago, IL 60603.

Q: What are the law firm's practice areas?
A: The firm specializes in Professional Liability Defense, Insurance, Employment Practices Liability, Fiduciary Law, Agents, Brokers, Lawyers, Miscellaneous Professional Liability, General, Products Liability, Insurance Coverage, Toxic Torts, Construction Law, Labor and Employment, Appellate Practice, ATM Networks, Banks and Banking, Business Law, Business Litigation, Commercial Law, Complex and Multi-District Litigation, Contracts, Breach of Contract, Commercial Contracts, Contract Litigation, Contract Fraud, Corporate Law, Environmental Law, Financial Institutions Litigation, Finance, Fidelity and Surety, Fidelity and Surety Bonds, Insurance Agents and Brokers Errors and Omissions, Insurance Agents and Brokers, Malpractice, Legal Malpractice, Legal Malpractice Defense, Insurance Defense, Internet Law, Legal Negligence, Legal Professional Liability, Litigation, Mortgage Law, Nonprofit and Charitable Organizations, PPH Litigation, Professional Liability, Accountants Liability, Accountants Malpractice, Agents and Brokers Errors and Omissions, Agents and Brokers Liability, Appraisers Liability, Architects and Engineers Errors and Omissions, Architects and Engineers Liability, Architects and Engineers Malpractice, Auditors Malpractice, Design Professionals Errors and Omissions, Design Professionals Liability, Design Professionals Malpractice, Directors and Officers Errors and Omissions, Directors and Officers Insurance Coverage, Directors and Officers Liability, Professional Conduct, Professional Discipline, Professional Errors and Omissions, Professional Indemnity, Professional Liability Insurance Coverage, Professional Malpractice, Professional Negligence, Professional Sexual Misconduct, Surveyors Malpractice, Property Law, Real Estate, Securities Law, Broker-Dealer Arbitration, Broker-Dealer Registration, Broker-Dealer Regulation, FINRA Arbitration, Mortgage Backed Securities, SEC Enforcement, Securities Arbitrage, Securities Arbitration, Securities Fraud Arbitration, Securities Fraud Class Actions, Securities Investor Protection Act, Securities Litigation, Securities Offerings, Securities Registration, Securities Regulation, Shareholder Disputes, Securities Class Actions, Securities Finance, Securities Fraud.

Q: Does the law firm offer free consultations?
A: Yes, the law firm offers a 30-minute free consultation for new clients. Policy might change at any time, please contact us by email to verify in writing.

Q: What are the law firm’s hours of operation?
A: Its opening hours are Mo-Fr 09:00-17:00.Operating hours may change and can be affected by holidays. Please call to make an appointment.

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