About
At our law firm, we advocate for both institutional and individual investors across the country in their legal pursuits against financial advisors and brokerage firms. With a collective experience exceeding 100 years in securities law and the broader securities sector, our dedicated attorneys have a wealth of knowledge to draw from. Many of our legal experts previously held senior executive roles or worked within compliance divisions at prominent brokerage houses. Our proficient team is committed to helping clients reclaim losses incurred as a result of misconduct by investment entities and their stock advisors, making sure that investors receive the justice they deserve.