Contact Us For A Free Confidential Consultation
If you believe you may have been the victim of securities fraud, the provision of defective investment advice, or sale of defective financial products, or other wrongful conduct by your stockbroker or investment firm, contact us for a free, confidential, no-obligation evaluation of your claims and whether we can assist you in helping recover your investment losses.
We offer our services exclusively on a contingent fee basis, meaning you owe us nothing, unless we are able to make a recovery for you.
If you would like us to review the specific facts in your case, call us at (877) SEC-ATTY for a free, no obligation evaluation of your claims. All inquires are confidential.
The fastest way to get started is to download our New Client Questionnaire and either email to us at contact@securitiesarbitrations.com or fax it to (215) 660-5490.
Our practice is limited to the representation of investors. 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.
To learn more about FINRA Securities Arbitration, and the legal process, please visit us at securitiesarbitrations.com
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
Communicating with us in any way does not create an attorney-client relationship of any kind. All potential clients are screened for potential conflicts of interests. Attorney advertisement. The determination for the need for legal services and the choice of a lawyer are extremely important decisions that should not be based solely on advertisements or self proclaimed expertise. The limitation or concentration in any area of practice does not mean that a lawyer is a specialist or expert in a field of law, nor does it mean that the lawyer is necessarily any more expert or competent than any other lawyer. Florida Counsel: Sara J. Saba (Florida Bar No. 911011). California Counsel, Seth M. Friedman (California Bar No. 169220). Not admitted in all jurisdictions. Offer void where prohibited. the quality of legal services to be performed by us is greater than the quality of legal services to be performed by other lawyers. No certification as a specialist or certification in any field of practice has been granted or approved by any state or the American Bar Association. The outcome or success of any prior case or client is completely unrelated to the outcome in your case, or any other case. All potential clients are urged to make their own independent investigation and evaluation of any lawyer being considered.
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.