Securities & Investment Fraud Attorneys

 Millions of consumers entrust stock brokers and brokerage houses to manage their investments yearly. With the promise that their money will be expertly managed to increase wealth and retirement income, clients occasionally entrust these companies with their whole life savings and retirement plans.



Unfortunately, investments often don't work out the way they were initially expected to. Brokers and investment advisors who lack integrity occasionally take advantage of their clients. Investors are thus faced with the possibility of losing all of their money, which might sometimes be their whole retirement fund or life savings.


Richard Frankowski, the company's founding partner, is the country's preeminent securities and investment fraud lawyer. Richard has been holding wrongdoers accountable for their acts for the past 20 years, and he represents both individual and institutional investors. Richard and our other investment fraud attorneys are familiar with the intricacies of state and federal securities laws and the standards set forth by the Financial Industry Regulatory Authority (FINRA), which oversees all facets of the securities arbitration procedure. We represent clients in court, mediation, and before arbitration panels. We have a history of successfully assisting our clients by securing sizable awards for financial injustice. If you think you've been the victim of broker fraud or misconduct, get in touch with us immediately.




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