Broker Fraud Law Firm
Shepherd Smith Edwards and Kantas Help Investors Recover Their Portfolio Losses
What Distinguishes Our Trusted Broker Fraud Law Firm
Shepherd Smith Edwards and Kantas (investorlawyers.com) have recovered many millions of dollars on behalf of thousands of investors that have fallen victim to a stockbroker and financial advisor’s negligence. We are one of the largest securities fraud law firms in the United States with over a combined century’s worth of experience in securities law and the securities industry. Dedicated to providing our clients with quality counsel and effective legal representation, we work with retail investors, retirees, wealthy investors, and institutions in pursuing damages from broker-dealers and investment advisers while protecting their legal rights.
Our savvy securities lawyers have decades of experience fighting the largest Wall Street firms on behalf of our clients. Members of our team have been recognized and highly rated by Super Lawyers, Avco, Lawyers of Distinction, Law Dragon, Justia, Martindale-Hubbell, Law Dragon, and others.
Many of us used to work in the brokerage industry as licensed stockbrokers and in highly senior roles at nearly every major broker-dealer. We now harness that former insider knowledge to advocate for investors while working to hold financial firms accountable for their actions.
What Can You Expect When You Work With Our Seasoned Broker Fraud Law Firm
Quality and thorough legal representation: You won’t work with just one securities attorney but with our entire team of knowledgeable broker fraud attorneys, legal assistants, and consultants. All of us will be involved in your investor loss case.
Unparalleled experience fighting for investors: We have handled every kind of securities claim, including the most complex kinds of investor loss cases, and we have the manpower, resources, and skillset to pursue your lawsuit to its conclusion. More than 90% of our clients have received full or partial financial recovery through mediation, litigation, negotiation, or arbitration.
Well-respected throughout the industry: Unlike other law firms that have their focus split across multiple practice areas, we represent clients in only one practice area—and that means we have been exclusively representing investors for over 30 years. Because of our unparalleled experience in securities litigation and our reputation of always coming from a place of integrity, other attorneys will often refer us to their clients. As for the opposing counsel representing broker-dealers, by now they know who we are and that when they go up against us they are dealing with formidable broker-negligence lawyers who are committed to protecting investors.
A partnership approach: We believe in working with our clients in a collaborative manner. We make sure to understand each investor and their losses and what they want and need from their claim. At Shepherd Smith Edwards and Kantas, we provide customized legal services and top-notch client care and communication.
How Can You Work With Our Savvy Broker Fraud Law Firm?
Contact us today to request your free no-obligation case consultation. Remember, that not all investor losses may warrant suing your broker or investment adviser. However, if we do determine that you have grounds for a securities fraud lawsuit, and we decide to work together, we will conduct a deep dive investigation into what happened and why the financial firm should be held accountable. After preparing your statement of claim, we will file your broker fraud lawsuit and provide you with effective legal representation from beginning to end.
Because we work on a contingency basis, you will only ever pay us legal fees if/upon financial recovery and that money will never come out of your own pocket.
Shepherd Smith Edwards and Kantas represents US investors and international investors and we have securities law offices all over the United States.
Call (800) 259-9010 or contact us online.