Securities litigation is reserved for when a brokerage firm or other company does not follow the rules set forth by the Financial Industry Regulatory Authority (FINRA), by the U.S. Securities Exchange Commission (SEC), or by some other federal or state laws while they were managing or soliciting investments. An experienced U.S. securities litigation attorney can provide you with intelligent advice if you think there might be misconduct being committed by your broker or if you suffered financial fraud. Mr. Lawrence from The Lawrence Law Firm is a former prosecutor who can help you address misconduct and seek fair and just compensation, whether it is through a class action lawsuit or another type of litigation.
If you believe you have been victimized by your broker’s actions, call (877) 959-3692.
If you are a minority shareholder who has been forced out through stock manipulations, you can file a lawsuit to recover the money you lost through the company’s unscrupulous actions. Many times, an entire group of shareholders can be forced out by certain people in the company attempting a hostile takeover. An accomplished San Francisco securities litigation lawyer can provide effective representation that demonstrates how the shareholders were defrauded.
For more than 35 years, Mr. Lawrence has provided dedicated and focused legal representation that has been results-oriented. He serves clients nationwide focusing on helping consumers, realtors, and even municipalities who have been wronged by banks, brokerages, and corporations. Mr. Lawrence is an active member of bars and district courts throughout the United States.
Learn more about how The Lawrence Law Firm can help by calling (877) 959-3692.