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Miami Stock Broker Liability Lawyer

 

Proving Brokerage Firm Liability for Investor Losses Throughout Los Angeles, Miami, New York City and Nationwide

Section 15(b)(4)(E) of the Securities Exchange Act requires broker-dealers to reasonably supervise employees (and associated persons) in order to prevent violations of securities laws. Section 20(a) holds that those who directly or indirectly control someone who sells securities in violation of the Act could be held liable to the same extent as the seller.

Brokerage firm liability is based on the fact that the firm and its supervisors have some means of control, discipline or influence over their own brokers. Therefore, in most securities arbitration cases, a brokerage firm can be held financially responsible for investor losses caused by the negligence, fraud or misconduct of its stockbrokers. In some situations, the brokerage firm may be found independently liable for its own failure to train and supervise its brokers.

Does your broker's employer know what has been done to your portfolio?

Examples of instances in which a brokerage firm could be held responsible for investment losses of stockholders because of brokerage firm misconduct include:

  • Negligent hiring of brokers
  • Negligent supervision of brokers
  • Tolerance of unlawful, unsound or unauthorized trading practices
  • Inadequate internal investigation of allegations of stock fraud, churning, or other misconduct by its brokers
  • Failure to implement effective remedial measures once wrongdoing has been discovered

Recovering investor losses

At the law office of Dimond Kaplan & Rothstein, P.A. (DKR), our securities fraud attorneys can investigate stockbroker misconduct claims for signs that the brokerage firm has a share of the liability for investor losses. When investors lose money, we scrutinize the steps taken by the brokerage firm to protect its clients from the negligent or fraudulent conduct of its brokers.

For a free initial consultation about recovery for your investment losses against a brokerage firm, contact an attorney experienced in stockbroker liability at a DKR office in Miami or West Palm Beach. We represent investors in Florida and nationwide in claims to recoup investment losses due to stockbroker misconduct and securities fraud. Call 888.578.6255 to discuss your claim.

Practice Areas
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Current Investigations Representative Institutional Clients
  • Airlines
    ASTAR Air Cargo, Inc.
    Spirit Airlines, Inc.
  • Apparel and Apparel Manufacturing
    Fila Retail, Inc.
    In Gear Swimwear, LLC
  • Automotive and Transportation
    Braman Imports, Inc.
    Aventura Limousine & Transportation Services, Inc.
  • Banking and Finance
    American Financial TRS, Inc.
    Amerifirst Home Improvement Finance Co.
    Bank One, N.A.
    Bessemer Trust Company of Florida
    First Magnus Financial Corporation
  • Bankruptcy and Receiverships
    Assignee for MDCM Holdings, Inc. f/k/a Mortgage.com
    Plan Administrator of AT&T Latin America Corp.
    Receiver - United States Securities and Exchange Commission
  • Electronics and Communications
    Altech Corp.
    j2 Global Communications, Inc.
    Tekelec
  • Government Entities
    State of Virginia
    State of New Jersey
  • Insurance
    United Automobile Insurance Co.
  • Media
    DMG World Media [USA], Inc.
  • Medical and Pharmaceutical
    Andrx Corporation
    Elan Pharmaceuticals, Inc.
    Excellence Medical Center, Inc.
    Rose Med Diagnostic Center, Inc.
    Stryker Spine, a Division of Howmedica Osteonics, Corp.
  • Military and Law Enforcement
    Point Blank Body Armor, Inc.
    Force Protection, Inc.
  • Private Equity
    Trivest Partners, L.P.
  • Real Estate and Construction
    Avatar Real Estate Services, LLC
    Fisher Island Holdings, LLC
    Insulated Roofing Contractors
    The Related Group
  • Entertainment and Restaurant
    April Media Corp.
    Imagine USA
    Liberman Broadcasting, Inc.
    Maat Trade Development
    ROK, LLC
    Sbarro, Inc. and Sbarro America, Inc.
    Sunrise Media Group, Inc.
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