The Guiliano Law Group, P.C. is a “boutique” law firm that has over thirty years experience representing investors in a wide variety of securities and investment related matters in state and federal court, and in arbitration before the Financial Industry Regulatory Authority or FINRA. We were founded, and are headquartered in Philadelphia, Pennsylvania, and we also have offices in Los Angeles, California and Aventura, Florida. Our practice is multi-jurisdictional or national, where permitted by law, and is substantially limited to the representation of investors in claims against securities broker-dealers, and/or their registered representatives or stockbrokers, for fraud, negligence, the sale of unsuitable investments, stockbroker theft, breach of fiduciary duty, the failure to supervise and other forms of actionable misconduct.
We have represented more than 1,000 public customers in securities arbitrations both internationally and nationally in almost all 50 states.
We represent clients on a “contingent fee” basis meaning that there is no cost or obligation on the part of the client to pay our legal fees unless we are able to obtain a recovery for you.
If you believe that you have been the victim of misconduct or fraud, contact us for a free consultation.
1700 Market Street, Suite 1005
Philadelphia, PA 19103
Direct: (215) 413-8223
Toll Free: (877) 732-2889
1260 South Soto Street, Suite 7
Los Angeles, California 90023
Direct: (213) 255-3475
Toll Free: (877) 732-2889
2750 NE 185th Street, Suite 302
Aventura, Florida 33180-2877
Direct: (786) 490-2413
Toll Free: (877) 732-2889
We accept representation on a contingent fee basis, meaning there is no cost to you unless we make a recovery for you. There is never any charge for a consultation or an evaluation of your claim. For more information, contact us at (877) SEC-ATTY.
For more information concerning common claims against stockbrokers and investment professionals, please visit us at securitiesarbitrations.com.
OUR PRACTICE AREAS
FINRA Arbitration
The litigation of individual and group investor claims against securities broker-dealers and investment professionals adjuducated in arbitration before the Financial Industry Regulatory Authority.
Defective Financial Products
Alternative Investments, Promissory Notes, Structured Products, High Yield Bond Funds, Non-Marketable Real Estate Investment Trusts, Inverse and Leveraged ETFs, the Failure to Conduct Due Diligence.
Unsuitable Investments
Speculative or High Risk Investment Recommendations, Unsuitable Investment Strategies, Low Priced Securities, Customer Specific Unsuitability, Inappropriate Investment Recommendations.
Stockbroker Misconduct
Breach of Fiduciary Duty, Churing, Unauthorized Trading, Fraud, Stockbroker Theft, Ponzi Schemes, the Sale of Unapprovied investments.