Each year, financial advisor mismanagement costs ordinary investors millions upon millions of dollars in unnecessary and avoidable losses.
All too often, however, brokerage firms try to evade liability by blaming the market – or, worse, their own customers – rather than acknowledge any fault on the part of their brokers or supervisors.
The deck can seem particularly stacked against investors, who are required to arbitrate claims in an industry-dominated format.
At Brown Law Group, we have carved out a successful practice in this tough arbitration format, with access to top-notch securities experts and consultants. Let us help you investigate and pursue recovery for broker malfeasance and ineptitude.