Securities Attorney Royal Oak MI
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20 Years Experience
Experienced Securities Fraud Attorney in Royal Oak MI, Peter C. Rageas is tough on brokers who commit fraud
If you are a victim of stockbroker negligence, let our legal team help you today! Attorney Rageas has over 20 years of experience protecting clients from fraudulent stock brokers. We offer residents Royal Oak Michigan, the most effective legal support, and are always privileged to fight for our clients.
If you have been harmed by a stockbroker or investment advisor, please contact our firm today. We have helped many clients from investment losses, stockbroker negligence, stockbroker malpractice, and more! Often, a financial advisor or investor places their own financial desires ahead of yours. You need an experienced Securities Litigator to fight for you! The Law Offices of Peter C. Rageas, can help victims of stock broker and investment fraud. While making investment recommendations, financial advisors are required to obtain information that will allow them to make credible investment recommendations. Further, a stockbroker is required to understand an investor’s tolerance for risk, financial needs and investment timing.
The attorneys at the Law Offices of Peter C. Rageas are the best choice to recover your losses. We protect our clients from fraudulent stock brokers, call Today!
Full-Service Securities and Investment Litigation Law Firm
Securities Litigation – Specializing in class action stockbroker negligence and wrong doing, to victims of investment scams
If you are facing fraud, misrepresentation, account churning or breach of contract, you must contact a stock broker fraud attorney, read more.
Experienced in all aspects for fraudulent broker abuse, including unauthorized trading in your brokerage account and improper allocation of assets, read more.
ARE YOU LOOKING FOR AN EXPERIENCED SECURITIES LAWYER WHO GETS RESULTS?
Call Today We Got You Covered!
Our Law Firm near Royal Oak MI Accepts Securities Cases on Contingency
Why does Peter Rageas work on a contingency basis? We understand Securities Litigation can be expensive. This gives our clients the right to file a lawsuit against the negligent financial advisor who caused your financial loss. More importantly, our clients are able to file their claim, without incurring cost up front for the payment of attorney’s fees. Our contingency structure helps individuals needing to file a case right away, while not worrying about money to pay for the lawsuit.
If a broker agrees to manage his or her client’s portfolio and they have discretionary authority to make decisions without consulting the client, then they have fiduciary responsibility to that client. Securities litigation specialist, Peter C. Rageas, has grown to be Michigan’s leading choice for Broker Fraud. In addition to securities litigation, we also offer many other services including the protection against Ponzi schemes, securities misrepresentation, broker negligence, legal causes against stockbrokers, breach of fiduciary duty, stockbroker claims, investment fraud, securities litigation, and FINRA assistance
Our law firm is experienced in securities dispute resolution. Don’t let a broker or investment professional place their own interests before of yours. Contact our law offices for your No-Risk Consultation, and get back what you deserve!
Material Facts Must Be Disclosed in Securities
The brokerage firm is required by law to make full to clients of all material facts that are inherent to the investments recommended. When neglected, investment fraud may exist. The firm or the financial advisor can be held responsible for securities fraud including, misrepresentations or omissions of material facts. Omissions made to the investor regarding the risk associated with making a particular investment can lead to a finding that the firm and broker are responsible for compensatory damages or losses sustained.
Services include: Securities Fraud 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