FINRA Attorney in Michigan, Peter C. Rageas P.C., is Tough on Violators
FINRA Attorney in Michigan – Experienced in all matters related to FINRA Litigation
You need an attorney to protect you from mistakes by brokers, that are often made prior to pursuing a remedy. When an investor calls or writes letters or emails to a brokerage firm complaining about mistreatment this can often be used as evidence against an investor in future securities misconduct law suits.
The goal of securities fraud lawyers is to collect money damages for investors. The SEC and FINRA were established to enforce the regulation of securities firms.
FINRA data indicates that in 2010, about 76% of customer claimant cases resulted, through settlements or awards, in monetary or non-monetary recovery for the investor.
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FINRA Fraud cases – taken on contingency
Why does Peter Rageas work on a contingency basis? This gives our clients an opportunity to file a lawsuit against the negligent broker who caused your financial loss without spending money initially for the payment of attorney’s fees. This will also help those who need to file a case right away and not worry about a lack of money to finance the lawsuit.
Experienced Securities Arbitration Lawyer
We take pride in representing securities investors, who suffered financial losses because of Stock Broker and Investment Advisor Negligence, to recover their money by negotiation, mediation, arbitration and securities litigation.
The Securities and Exchange Commission (SEC) and FINRA (FINRA.org) have established rules and regulations which must be followed by your investment advisor or stock broker.
We have represented clients just like you, in Federal and State courts and in securities arbitration through the Financial Industry Regulatory Authority (FINRA), American Arbitration Association (AAA) and in private negotiation actions.
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EXPERIENCED FINRA LAWYERS IN MICHIGAN READY TO FIGHT FOR YOU!
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313-334-7767
Our Legal Services located in Michigan
Our Detroit Michigan based location offers affordable prices for a vast array of services. In addition to broker securities fraud, we also offer many other services including litigation, broker misconduct, securities litigation. More information on FINRA can be found on the Financial Industry Regulatory Authority website.
You can find more information regarding securities violation and prevention tips at the Federal Bureau Investigation’s website. The Securities and Exchange Commission also offers great information – you can find it here; identifying and avoiding securities fraud.
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FINRA Attorney in Detroit Michigan
We also provide reliable and competent Attorneys who are well trained in the field of FINRA arbitrations. We are experienced in representing individual investors. We guarantee you that we will provide you with an attorney who will guide you throughout your case.

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Services include: Securities Litigation Attorney, Investment Losses, Stockbroker Negligence, Broker Negligence Lawyer, Stockbroker Malpractice, Legal Causes Against Stockbrokers, Breach of Fiduciary Duty, Stockbroker Claims, Investment Fraud Attorney, Securities Litigation, FINRA Attorney, Securities Lawyers, and Ponzi Scheme Attorneys
Service Areas: Detroit MI, Troy MI, Bloomfield Hills MI, Birmingham MI, Auburn Hills MI, West Bloomfield MI, Bloomfield MI, Royal Oak MI, Southfield MI, Farmington Hills MI, Northville MI, Oak Park MI, Warren MI, Saint Clair Shores MI, Ann Arbor MI, Walled Lake MI, Clinton Township MI, Wixom MI, Milford MI, Plymouth MI, Livonia MI, Westland MI, Dearborn MI, Novi MI, Ypsilanti MI, Wayne MI, Huntington Woods MI, Farmington MI, Canton MI, Rochester MI, Dearborn Heights MI, Clarkston MI, Oakland MI, New Hudson MI, Grosse Pointe Park MI, Grosse Pointe MI, Oakland County MI, Berkley MI, Ferndale MI, Commerce MI, Eastpointe MI, South Lyon MI, Hamtramck MI, Highland MI, Keego Harbor MI, Rochester Hills MI
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