We built our reputation on providing vigorous and effective representation to those who fall victim to the negligent and fraudulent actions of financial advisors and investment firms. We assist clients in a cost-effective manner.
It is important to find someone you can trust. This is especially true for cases involving your finances.
Our expertise and legal ability are proven tools for victims of stockbroker fraud to get the compensation they deserve.
Our compassionate service and professional manner in handling your case are present throughout your relationship with us. We get to know our clients and inform them about their options.
We are straight forward and up front about your options and possibilities in negotiation. The only way to run a successful law firm that pleases its clients is with candor and integrity.
We respect our clients' needs to know about the progress of their claims. Thus, we email and call our clients to provide them with regular updates. We are available to discuss your changing case when you have questions.
We aim to provide each client with the best advice and guidance to recover stock market losses as a result of stockbroker misconduct. We provide skilled guidance with personal attention and a genuine interest in the welfare of our clients. We are dedicated to each client’s satisfaction, and we work together as a strong team to bring you a positive outcome in recovering your investment losses in a timely and straight forward manner.
Collectively, our clients have recovered more than £100 million through our assistance in negotiation, mediation, arbitration and litigation. More than 90% of those who have engaged our services have recovered all or a portion of their losses.
We have served many international clients, particularly from Europe and Asia. FINRA Rules governing the jurisdiction of U.S. based investment firms require that international clients with brokerage accounts at U.S. based investment firms, must file all claims for relief with a firm located within the United States. If the complaint is with an international brokerage firm, the above law does not apply.
Members of our firm have more than 100 years of combined experience in the securities industry and in securities law.
Most of the members of our staff and consultants previously worked at investment and brokerage firms and many of them were also licensed representatives and/or supervisors. Collectively, the members of our team have worked for dozens of securities firms, including almost every major brokerage firm on Wall Street.