Experienced Securities Law Attorneys We have assisted hundreds
of investors in the recovery of millions of dollars lost in personal investment, IRA and retirement accounts as the result
of; stock fraud, unsuitable investment advice, churning or unauthorized trades, improper use of investor’s margin account
and option trading. We have arbitrated and litigated cases involving investors whose losses stem from the sale of promissory
notes, viaticals and other non-traditional securities. We have arbitrated or litigated claims related to investments
in trust accounts involving professional money managers and trustee investment claims under the “fiduciary duty” standards.
We have collectively arbitrated or litigated hundreds of cases before the NASD, NYSE and in state or federal courts throughout
the U.S.
Our firm assists clients,
both individual and business, with private placements and other capital raising endeavors, as well as compliance
with state and federal laws and regulations. Our expertise extends to sophisticated commodities and foreign investment
markets, securities fraud, stockbroker fraud, unauthorized or unsuitable trading, churning, misrepresentation and insider
trading matters. |