New Jersey Securities Arbitration Lawyer

The securities arbitration attorneys at Lubiner, Schmidt & Palumbo have handled hundreds of securities arbitrations from the pleadings stage to resolution by settlement or hearing. He never felt intimidated and his study of the case and perseverance prevailed at all times. An investment fraud lawyer can provide you with an objective, non-biased analysis to help you determine whether something more sinister is at play. No matter the scenario, if you have suffered monetary loss at the hands of a broker, contact an investment fraud attorney today to get the representation you need to get back what was wrongfully taken from you. In the last 20 years alone, Robert Pearce has recovered over $160 million for his investor clients. In fact, he has recovered funds for over 99% of his investor clients through various avenues of recovery, including settlements, arbitrations, and court litigation.

They perform confidential investigations to prevent any evidence from being destroyed or going missing and to preserve the reputation of the firm or individual being investigated. After reviewing all the evidence they gathered, they will determine whether there was a violation of securities regulations and recommend whether or not to prosecute. While things may feel hopeless now,an investment fraud attorneycan help you recover so that you can finally begin to move forward. Each year in the United States, thousands of investors lose valuable, hard-earned money due to investment fraud. While it can be discouraging to fall victim to an investment fraud scheme, don’t give up hope.

Stock Loss Lawyer

If you are a victim of investment fraud, it is time to consider hiring an experience investment fraud lawyer. This type of deceptive conduct is illegal and a violation of Section 10 of the Securities Exchange Act of 1934. Victims in these cases have the right to recover their investment losses they suffered as a result of the fraud. suffered losses in Kiromic BioPharma stock built their practice on securities fraud cases. When you hire our firm you can rely on us to aggressively pursue every legal option available, including litigation in search of the best possible outcome for your case. Regardless of whether the broker-dealer approves the security or not, it assumes the responsibility for transaction oversight as if it was executed on behalf of the firm.

If you lost money on such an offering, you may have a claim against the company, its officers and directors, and the underwriting firms. Arbitration is generally quicker and less formal than a courtroom trial. An investor fraud case is usually resolved by a panel of three arbitrators appointed by FINRA, instead of a judge.

What is a securities class action?

The owner of the bond or fixed income generally has no equity interest in the company. Bonds / Fixed IncomeA bond is an investor’s loan to an organization in exchange for interest payments. Payments are made over a specified term plus principal repayment at the bond’s maturity date. “Good intelligent attorneys who never miss a beat. I set my expectations high, and they delivered above and beyond. Do not miss the opportunity to let SSEK represent you. Top-notch, efficient and effective firm.” Our Thorough Client Intake ProcessThe reason you can be assured we will assess your case thoroughly is that we work on a contingency basis.

Free Consultation

Call us now for a free consultation and let us put our experience to work for you. Investment firms have a responsibility to establish and maintain rules regarding the supervision of their registered financial advisors and brokers. The supervision includes regular reviews of your portfolio to ensure it meets your investment objectives and risk tolerance. Broker-dealers are required to contact you in response to red flags to ensure you understand the risks involved with your holdings or trading strategy. If your investments lost money due to a representative’s negligent or fraudulent behavior and the firm’s failure to supervise played a role, our lawyers may be able to help you recover your losses.

Submit documentary evidence to FINRA in support of the allegations of securities fraud. This is a national conference attended by 1,500 lawyers each year where we teach how to successfully handle lawsuits against the largest companies in the world. When you trust an investment firm to maintain your savings, you expect to receive professional and accurate information tailored to your particular circumstances. This act is designed to protect investors from deceptive corporate accounting practices and enhance financial disclosures.

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