Given the securities industry’s complex rules and regulations, you might suffer an investment loss due to:

  • Stockbroker misconduct
  • Financial advisor error
  • Securities fraud
  • Breach of fiduciary duty
  • Conflicts of interest

The laws protecting investors from financial fraud or misconduct have statutes of limitations, so it is in your best interest to act quickly. We are ready to discuss your case and put your action in motion without delay.

Call us at 510-817-2711 if you have any questions regarding your fraudulent investment losses.

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