Stockbrokers have a responsibility to handle your account with care and keep you informed about the nature of your investments. When a stockbroker neglects to live up to this responsibility or deceives you about your investments, you may be able to bring a claim to recover your losses.
The New York securities fraud lawyers at Dimond Kaplan & Rothstein, P.A. have extensive experience representing investors in securities litigation and arbitration. Our goal is to help you recover your losses and hold the stockbroker or brokerage firm accountable for neglect, misconduct or fraudulent behavior.
Do you have a case? Contact an experienced securities fraud lawyer at Dimond Kaplan & Rothstein, P.A. to set up a free consultation. From our offices in New York City, Miami, West Palm Beach and Los Angeles, we represent investors around the United States.
Thorough Investigation to Recover Your Funds
Our New York securities lawyers will conduct a thorough investigation into the nature of your stockbroker's misconduct or fraudulent actions. With an office on Wall Street, we are well positioned to provide you with the securities representation you need in the heart of downtown Manhattan.
We help investors, individuals and businesses recover compensation due to stockbroker fraud or misconduct such as:
- Unsuitability of investments
- Mismanagement of funds
- Hedge fund fraud
- Ponzi schemes
Our securities lawyers have recovered millions of dollars of clients' investment losses from brokerage firms such as Merrill Lynch, Banc of America Securities, Salomon Smith Barney, Citigroup, Wachovia, Morgan Stanley, UBS, Raymond James, JP Morgan Chase, Oppenheimer Prudential, Lehman Brothers, and Credit Suisse.
Contact a Stock Broker Misconduct Attorney in the Financial District
To determine if you have a case against your negligent brokerage firm or a dishonest stockbroker, contact Dimond Kaplan & Rothstein, P.A. in New York City.
Free Consultation ▪ Se Habla Español ▪ Nós Falamos o Português