Protecting Consumers In Securities Fraud and Negligence Claims
Litigation involving the securities industry is a complex legal problem that not every attorney can handle. These disputes require a lawyer to comprehend not only the litigation process but also the complexities of the securities industry. If your financial adviser has improperly caused you losses, you need an experienced litigator who can handle your case.
At Hubbard Snitchler & Parzianello PLC, our lawyers have been practicing in the securities industry for over 30 years. Our background in representing customers allows us to see the weaknesses and strengths in every case. We are one of the few firms that represent securities claimants across the United States in state courts, federal courts, and arbitration. We have been involved in hundreds of FINRA arbitrations and are well-versed in FINRA’s rules, practices and procedures. John Hubbard has been a FINRA (formerly NASD) Arbitrator for over 30 years. You can contact our firm now to schedule your free consultation by calling 313-765-1906. Most cases are on a contingent fee basis which means you don’t pay any attorney’s fee unless there is a monetary recovery.
Fighting For Financial Consumers
Customers of the financial industry trust investment advisors, broker-dealers and other financial professionals to watch out for their best interests when it comes to managing their money. A breach of this trust can be both emotionally and financially devastating. If your financial representative or their firm committed an act which is legally actionable, we will fight to get you the best possible outcome.
Your financial professional may have engaged in professional wrongdoing including:
- Breach of fiduciary duty
- Conflict of interests
- Churning, which is excessive trading on a client’s account
- Unsuitable Recommendations
- Unauthorized trades
Our firm will investigate the actions of your financial professional and determine if a legal claim is available.
Talk To A Securities Litigation Attorney Now
Contact our firm immediately if you believe you have a claim against your financial advisor. By taking immediate action, you can protect your rights. You can discuss your case with an attorney at our Plymouth, Michigan, or Naples, Florida, office by calling 313-765-1906. We are also available for questions by email. You do not pay our Firm until we win.