Broker-Dealer Securities Litigation and Arbitration

  • Breach of Fiduciary Duty
  • Broker Fraud
  • Broker Misconduct
  • Churning
  • Commercial Litigation & Appeals 
  • Complex Financial Products
  • Defective Investment Products
  • Elder Financial Abuse
  • Excessive Trading
  • Failure to Diversify and Overconcentration
  • Failure to Supervise
  • Fraud (10b-5)
  • Investment Fraud
  • Investor Mediations
  • Junk Bonds Disputes
  • Margin Calls & Securities Based Lending
  • Misrepresentation/Omission
  • Negligence 
  • Oil and Energy Investment Fund
  • Ponzi Schemes
  • Preferred Shares of Stock Fraud
  • Securities Arbitration (FINRA, NFA, JAMS, and AAA)
  • Securities Fraud
  • Selling Away
  • Stockbroker Fraud
  • Stockbroker Misconduct
  • Structured Products
  • Unauthorized Trading
  • Unsuitable Investment Recommendations
  • Variable Annuity Investment Fraud
  • Violations of Regulation Best Interest (Reg BI)
  • Whistleblowers
Practice Areas

Broker-Dealer Securities Litigation and Arbitration

  • Breach of Fiduciary Duty
  • Broker Fraud
  • Broker Misconduct
  • Churning
  • Commercial Litigation & Appeals 
  • Complex Financial Products
  • Defective Investment Products
  • Elder Financial Abuse
  • Excessive Trading
  • Failure to Diversify and Overconcentration
  • Failure to Supervise
  • Fraud (10b-5)
  • Investment Fraud
  • Investor Mediations
  • Junk Bonds Disputes
  • Margin Calls & Securities Based Lending
  • Misrepresentation/Omission
  • Negligence 
  • Oil and Energy Investment Fund
  • Ponzi Schemes
  • Preferred Shares of Stock Fraud
  • Securities Arbitration (FINRA, NFA, JAMS, and AAA)
  • Securities Fraud
  • Selling Away
  • Stockbroker Fraud
  • Stockbroker Misconduct
  • Structured Products
  • Unauthorized Trading
  • Unsuitable Investment Recommendations
  • Variable Annuity Investment Fraud
  • Violations of Regulation Best Interest (Reg BI)
  • Whistleblowers