Stockbroker fraud lawyer

Stockbroker fraud lawyer

By: Kaminsky On: 27.05.2017

Call today to discuss your case for free. Pursuing investor claims and class actions is what we do; all day, every day. Many of our clients are referred to our law firm by their family lawyer, business lawyer, accountant or a new financial advisor. We help individuals who believe they, or someone they care about, have suffered investment or other losses caused by investment misconduct. If you want to sue your stockbroker, talk to us about securities arbitration. Stockbrokers and financial advisors have a duty to recommend investments that are appropriate based on your specific circumstances.

Some brokers and advisors participate in practices such as unauthorized trading , churning , overconcentration , unsuitable investment recommendations , Ponzi schemes , excessive k fees , outright theft and more.

If you suffered substantial financial loss because of fraud or related investment misconduct, our firm is here to help. We also recognize that this may be a difficult financial time for you, which is why all of our cases are handled on a contingency fee, meaning we only earn a fee if money is recovered.

Securities Fraud Attorney - Stockbroker Fraud Lawyer - Investment Fraud Attorney - Serving the USA - Texas, California, New York, Florida, Arizona

When you trust a stockbroker or financial advisor with your investments, you are entrusting that advisor with your future financial security.

When that trust is broken and the broker commits fraud, mismanages your investments or engages in unethical or illegal conduct, consult an experienced investment fraud attorney. When it comes to choosing an attorney to handle your case, results matter.

stockbroker fraud lawyer

We have the results to give credibility to our law firm. We don't just know the law, we put it into practice to secure real results. We do not spread our resources thin over many different legal practice areas; nor do we take on a large caseload.

Investment and securities arbitration and lawsuits require a deep understanding of the securities industry and tremendous attention to detail. We pour our time and extensive resources into each case that we handle for investors who have been harmed by fraud , misrepresentation , breach of fiduciary duty , misrepresentation , churning , unauthorized trading and related investment misconduct.

If you want an experienced team of devoted investment fraud lawyers to fight to recover your losses, Meyer Wilson is the firm for you. With offices in Ohio, California, and Michigan, our investment fraud lawyers are nationally recognized for representing individual and institutional investors across the country in securities arbitration, mediation and litigation to recover losses caused by the misconduct of stockbrokers, brokerage firms, financial advisors and insurance companies.

Best Lawyers is the oldest and one of the most well-respected attorney rating systems in the country.

stockbroker fraud lawyer

Attorneys are nominated for this honor on the basis of peer review, indicating that Meyer Wilson is considered as an authority on the subject of investor claims and class actions. Founding partner David P. Lawyers who are rated preeminent have achieved the highest designations for professional ethics and legal ability.

Attorneys are nominated and evaluated by peers as well as judged on objective criteria. You trusted your financial advisor with your money, but now you're left wondering what went wrong. If you or a loved one suffered losses because of investment misconduct, Meyer Wilson can step in and fight to recover your losses.

The team of investment fraud lawyers at the firm has been helping people like you since by winning judgments, settlements and verdicts worth hundreds of millions of dollars against brokerage firms, financial advisors and banks. Stockbroker Steven Luftschein is under investigation for unauthorized trading and other stockbroker misconduct. According to a June 2, BrokerCheck report from the Financial Industry Regulatory The investor fraud attorneys at Meyer Wilson are interested in speaking with you if you had money invested by Robert Rotunno, who is accused by several of his former customers of stockbroker Former Ameriprise Financial Services, Inc.

Investment Fraud Attorney | Stockbroker & Securities Law | Albany, NY

Read the latest news regarding alleged investment fraud and broker misconduct cases nationwide. The securities fraud attorneys at the law firm of Meyer Wilson have been helping investors recover losses since Home Contact Us Search Site Recovering Losses Caused by Investment Misconduct.

Our Attorneys and Staff. Call Today The Best Lawyers In America Learn about the awards our firm has received and how they can benefit you. Let us help you recover your losses.

If We Don't Win, You Don't Pay We work on a contingency fee basis which means there is no risk to you. Passionate Hire A Firm That Gets Results Name:. Investment Fraud Attorneys Trusted Law Firm for Investment Loss and Securities Fraud Claims Pursuing investor claims and class actions is what we do; all day, every day.

Why Hire the Meyer Wilson Law Firm for Your Investment Misconduct Case? The Discovery Process in FINRA Arbitration What Happens to the Personal Documents I Send my Securities Arbitration Lawyer? The FINRA Arbitrator Selection Process Gathering Documents Relating to Your Investment Loss Claims Your Options when Problems Arise: FINRA Arbitration Non-Lawyers vs. Lawyers in Arbitration FINRA Arbitration vs. Lawsuits In Court Mandatory Arbitration And How It Relates To Your Claim The Arbitration Process - From Start to Finish The Life Cycle of Securities Arbitration Cases Mandatory Arbitration of Securities Disputes Technology And Your FINRA Arbitration What Happens During an Arbitration Hearing?

What To Expect During a Mediation of Your Investor Claim Am I Paying Excessive Retirement Fees? What Are Hedge Funds? What Is Selling Away?

Securities Fraud Lawyer - New York Securities Attorney - Fitapelli | Kurta

What Is a Ponzi Scheme? Do I Still Have Time to File a Claim?

Fraud :: Stockbroker Fraud Lawyer Fitapelli | Kurta

What If I Didn't Save My Paperwork? Why Are CRD Numbers Important? What Are Reverse Convertibles? Non-Discretionary Accounts New Wall Street Reform Signed Into Law How CPAs Can Protect Their Clients From Investment Fraud. We are here to help you. What do you have a question about? We Fight to Recover Losses Caused by Investment Misconduct Part of what makes Meyer Wilson so unique is that the sole focus of our five lawyers and extensive support team is investor claims and class actions.

Choose a Firm with Accolades. Request Our Free Book!

And What to Do if it's Happened to You Get The Book. Have You Been a Victim of Investment Fraud? What Have You Been a Victim Of? Asset Allocation Breach of Fiduciary Duty Churning Derivative Securities Excessive Activity Excessive k Fees Failure to Execute Failure to Supervise False Information Margin Trading Misrepresentation and Omissions Negligence Overconcentration Ponzi and Pyramid Schemes Private Placements Stockbroker Arbitration Stockbroker Mediation Subprime Litigation and Mortgage Scams Unauthorized Trading Undisclosed Conflicts of Interest Unsuitability.

Investment Misconduct Blog Current Investigations,Investment Fraud,Securities Fraud Jun Do I Have A Claim? I would like to learn more about recovering my losses caused by investment misconduct.

Name of investment firm: My name is First Name: My email is Email Address: Please email me or call me back at: Meyer Wilson In the News Read the latest news regarding alleged investment fraud and broker misconduct cases nationwide.

Do You Have a Claim? Contact Info Meyer Wilson Investment Fraud Attorney Toll-Free: Columbus Office Main Los Angeles Office Cleveland Office Bloomfield Hills Office Are you a new client? Yes, I am a potential new client. No, I am a current existing client.

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