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Stockbroker & Investment Fraud Lawyers and Attorneys

69 stockbroker & investment fraud attorneys are listed in this directory. Pick your state to see the cities where they practice, or go straight to a large city below.

Browse Stockbroker & Investment Fraud Lawyers by State

Each state page lists local attorneys and the cities where they work.

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Paul W. Thomas

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500 Ala Moana Blvd., Honolulu, Hawaii, 96813

Practice Areas : Securities Law

500 Ala Moana Blvd., Honolulu, Hawaii, 96813
Bruce Lister Gordon

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600 University Park Dr, Birmingham, Alabama, 35209

Practice Areas : Divorce

600 University Park Dr, Birmingham, Alabama, 35209
John Gibbs Dana

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600 University Park Dr, Birmingham, Alabama, 35209

Practice Areas : Business Law

600 University Park Dr, Birmingham, Alabama, 35209
Joe Morgan Reed

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524 S Union St, Montgomery, Alabama, 36104

Practice Areas : DUI & DWI

524 S Union St, Montgomery, Alabama, 36104
Bruce R Heurlin

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7320 N La Cholla Blvd, Tucson, Arizona, 85742

Practice Areas : Criminal Law

7320 N La Cholla Blvd, Tucson, Arizona, 85742
William Trent Palmer

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417 Main Street, Carbondale, Colorado, 81623

Practice Areas : Business Law

417 Main Street, Carbondale, Colorado, 81623
Edward J Nugent

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405 Ridges Blvd, Grand Junction, Colorado, 81507

Practice Areas : Appeals & Appellate

405 Ridges Blvd, Grand Junction, Colorado, 81507
Howard M. Rosenfield

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10 Waterside Dr, Farmington, Connecticut, 06032

Practice Areas : Arbitration & Mediation

10 Waterside Dr, Farmington, Connecticut, 06032
Andrew Cote

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302 West Main St, Avon, Connecticut, 06001

Practice Areas : Arbitration & Mediation

302 West Main St, Avon, Connecticut, 06001
Jeffrey R. Hellman Esq.

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195 Church Street, New Haven, Connecticut, 06510

Practice Areas : Bankruptcy

195 Church Street, New Haven, Connecticut, 06510

These attorneys recover investment losses caused by broker and adviser misconduct: unsuitable recommendations, excessive trading, over-concentration, unauthorised transactions, misrepresentation of risk, selling away, elder financial exploitation and Ponzi schemes.

Most claims against brokerage firms proceed in FINRA arbitration rather than court, because the customer agreement requires it. Hearings are faster and less formal than trial, and awards are very hard to appeal.

Before you hire

  • Gather account statements, confirmations, the new account form and any written recommendations. The suitability question is answered from those documents.
  • Check the broker's record on FINRA BrokerCheck — prior complaints matter to a claim.
  • Ask about the eligibility rule limiting how far back claims may be brought, and about contingency fee terms.
  • Market losses alone are not a claim. Misconduct in how the account was handled is.

Securities law and white collar crime cover the regulatory and criminal sides.