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An investment fraud attorney handles misrepresentations regarding investments, from stockbrokers, who are compensated either by commissions generated from transactions or on a fee basis charged as a percentage of the amount invested. Investment advisors are typically compensated on a fee basis but can earn commissions as well. While most financial professionals are honest and competent, the securities industry offers plenty of opportunities to defraud clients of potentially substantial amounts of money.
Fraud is a serious crime that can subject the perpetrator to regulatory sanctions, civil liability, restitutions and criminal prosecution. Just because you’ve lost money in the financial markets does not necessarily mean you’ve been defrauded.
Investments come with risks. Even well-established corporations have ups and downs in business which, in turn, affects the value of its stock and bond prices. Numerous factors affect the price of stocks and bonds, including company-specific issues, industry trends, and overall market performances. Sometimes brokers and advisors give bad advice with no intent to defraud. However, if you have lost money because your broker or advisor has misrepresented the nature and risks of an investment, has traded excessively in order to generate unwanted commissions (churning), traded your investments without your approval (unauthorized trading) or has placed too much money in one or a small number of securities (overconcentration), it may be time to consult an experienced
securities attorney in Florida.
Call Todd A. Zuckerbrod, P.A. at 561-544-8144 to schedule a consultation with a lawyer today.
Different people have different investment needs. When you open an account, your financial professional has an obligation to “know the customer”, including your financial goals and risk tolerance in order to make suitable investments.
While investment objectives and risk factors are subjective to each investor, if your financial professional fails to recommend the right type of securities to match your specific circumstances, you may have a basis to recover your losses and contact a financial fraud lawyer.
There are as many fraudulent schemes and many greedy and unethical brokers. Some types of stock broker fraud which occur in the security industry include:
If your investment account contains securities or activity which you do not recognize or did not authorize, you may have cause to believe that your account is being traded improperly. Your course of action is to consult an experienced attorney. You may be able to recover all or part of the money you have lost.
To learn whether you have been the subject of securities fraud,
Todd A. Zuckerbrod, P.A. has over 30 years of experience in all aspects of the securities industry. Arrange your free consultation to discuss your situation by calling his Boca Raton office today.
Disclaimer: The information on this website is for general information purposes only. Nothing on this site should be taken as legal advice for any individual case or situation. This information is not intended to create, and receipt or viewing does not constitute an attorney-client relationship.
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