Articles Tagged with San Francisco Securities Lawyers

Representing Bay Area Investors Broker-Dealers and Investment Advisers

Since 1990, our trusted San Francisco Securities Lawyers have been working with retail investors, retirees of all ages, older investors, high-net-worth individual investors, ultra-high-net-worth investors, institutional investors, and others throughout the Bay Area and the surrounding areas in recovering the damages they are owed due to financial advisor misconduct or negligence. We also represent international investors who live abroad but have California brokerage accounts.

Unfortunately, securities fraud involving brokers and investment advisers does happen. While the US Securities and Exchange Commission (SEC), the Financial Industry Regulatory Authority (FINRA), the California Department of Corporations (DOC), and even prosecutors can investigate your allegations against a brokerage firm or investment adviser, if you want to maximize your chances for a full financial recovery, your best bet is to retain the services of a respected San Francisco securities law firm that knows how to fight for you.

Contact Information