Law Firm for Stock Broker Losses Farmington Hills MI Peter C Rageas

Broker Negligence Attorney Farmington Hills MI



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20 Years Experience

Experienced Stock Broker Misconduct and Securities Attorney Farmington Hills MI. Peter C. Rageas is Tough on Broker Malpractice!

If you are a victim of broker negligence, let our legal specialists help you today! Securities attorney Rageas has over 20 years of experience defending clients from fraudulent stock brokers. We offer investors of Farmington Hills MI, the comprehensive legal support, and are always enthused to work for our clients rights!

If you have been harmed by a stockbroker or investment advisor, please contact our securities firm today. We have helped many clients fight against investment losses, stockbroker negligence, stockbroker malpractice, and more! Often, a stock broker places their own financial desires ahead of yours. You need a knowledgeable Securities Lawyer to fight for you! The Securities Law Offices of Peter C. Rageas, can help victims of stockbroker and investment negligence. While making investments on behalf of their clients, brokers are required to obtain information that will allow them to make sound investment recommendations. Further, a broker is required to understand an investor’s tolerance for risk, financial objectives and time horizon.

The attorneys at the Law Firm of Peter C. Rageas are the best choice to recover your damages. We have the experience and resources to protect our clients from fraudulent investment advisors, call Today!

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Our Full-Service Law Firm Will Fight to Recover Your Losses!


Securities Litigation

Securities Litigation – Specializing in class action stockbroker negligence and wrong doing, to victims of investment scams


Securities Lawyers

If you are facing fraud, misrepresentation, account churning or breach of contract, you must contact a securities attorney at our law offices today!


Broker Misconduct

Experienced in all aspects for fraudulent broker abuse, including unauthorized trading in your brokerage account and improper allocation of assets, read more.

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Law Offices of Peter C Rageas

"I recommend Attorney Rageas for Stock Broker fraud!"

"Attorney Pete Rageas is the "go to" guy for Stock Broker fraud and negligence!"

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Our Securities Law Firm Will Accept Cases From Farmington Hills Investors on Contingency

Why does Peter Rageas work on a contingency basis to fight your securities lawsuit? Often Securities Litigation can be expensive. This affords our clients the right to file a lawsuit against the fraudulent stockbroker who caused your financial loss. More importantly, our clients are able to pursue their claim, without spending money initially for the payment of attorney’s fees. Our contingency arrangement helps individuals needing to file a case right away, while not worrying about funds to pay for the lawsuit.

If a stock broker agrees to manage his or her client’s investments and they have ultimate authority to make decisions without obtaining consent from the client, then they have fiduciary duties to their client. Securities attorney expert, Peter C. Rageas, has grown to be Michigan’s preferred choice for Broker Securities 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 has a high record of successful securities dispute resolutions. Don’t let a broker or investment professional place their own financial interests ahead of yours. Contact our law offices for your No-Risk Consultation, and get back what is yours!

Farmington Hills MI Investment Losses Attorney

Michigan Law Firm Specializing in Securities Litigation

Farmington Hills MI Stock Broker Securities Fraud Attorney in Mi

Material Risks Must Be Disclosed in Securities

The brokerage firm is required by law to make full to clients of all material risks that are inherent to the investments recommended. When neglected, investment fraud can exist. The firm or the financial advisor can be held responsible for securities fraud including, misrepresentations or omissions of material facts. Material misrepresentations made to the investor regarding the risk associated with making a particular investment, can find the firm and broker are responsible for compensatory damages or losses sustained. We offer FREE consultations to Farmington Hills residents, call today to speak with an experienced securities lawyer!

Posts from Experienced Securities Attorney Peter C. Rageas

Common Forms of Stockbroker Misconduct

Help your Clients: Watch for Financial Advisor/Stockbroker Misconduct or Negligence Financial Crime and stockbroker misconduct has increased in recent years. Many of its victims are unaware of their plight until their CPA raises questions about their portfolio of...

Michigan Broker Facing Securities Fraud Charges

Shelby Township Broker, Ernest J. Romer, III, Facing Securities Fraud Charges From Michigan’s Licensing And Regulatory Affairs Department (LARA) August 2017- A Cease and Desist Order has been issued by Michigan’s Licensing and Regulatory Affairs Department (LARA)...

Malaysian Scandal – Efforts at Recovery of Losses

Final part in the Malaysian Scandal Series – Attorney Peter C. Rageas Helping Investors Recover Loses While Malaysia and Abu Dhabi are moving to clean up one part of the scandal: who would pay back investors who bought the bonds, it isn’t out of the woods yet. The Abu...

Malaysian Scandal – Helping Investors Recover Losses

Malaysian Scandal – Attorney Peter C. Rageas Helping Investors Recover Losses US Authorities Fight Against Illicit Finance US authorities allege that the stolen funds were funneled via a series of bank accounts and shell companies to partly finance the purchase of...

Securities Fraud Awareness in Michigan

As individuals invest their precious income, they depend on the veracity of the securities and commodities markets. Rest assured, that your government is actively investigating criminal activity in the financial markets, that could potentially harm investors. Although...

Ex Campbell Mayor Pleads Guilty in Securities Fraud Case

Securities fraud, is a deceptive practice in the stock or commodities markets. Typically this practice entices investors to make sale or purchases on the basis of false information. This information frequently results in losses and is in violation of securities laws....

What is securities fraud in Michigan

Also known as investment fraud or stockbroker fraud, securities fraud is a misleading practice in the investment markets (stock or commodities) that persuades investors to make purchase or sale decisions on the basis of fraudulent information. Inevitably, such...

SEC Charges Paxton With Securities Fraud

Yet another charge brought forth by the SEC, this time charging Ken Paxton for allegedly misleading investors in a technology company. The U.S. Securities and Exchange Commission filed the charges earlier this year. Paxton is faced with three felony counts, and has...

What is Securities Fraud and How Can a Fraud Attorney Help?

In general terms, fraud such as investment or securities can occur when a broker makes false statements regarding a company or the value of the related stock. The victims typically will make financial decisions based on such false information. Fraud can be at times...

Why Proving Securities Fraud is Important

Securities Litigation and Steps to Proving Fraud In the world of securities litigation, there are many factors to consider when making a claim. Ultimately it will come down to the facts and you best be prepared. Many article on the interenet discuss this topic....

Michigan targets money scams against seniors

Michigan's New Laws for Securities Violations Here's how that would work: Michigan's new law provides an additional $500,000 penalty for securities violations involving investors who are age 60 or older. The extra penalty would be on top of a civil fine of $10,000 for...

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Securities Attorney

Stockbroker Fraud
P: (313) 334-7767

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

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, Macomb County MI, St Clair Shoes MI, Ann Arbor MI, Walled Lake MI, Clinton Township MI, Wayne County MI, Wixom MI, Milford MI, Plymouth MI, Livonia MI, Westland MI, Dearborn MI, Novi MI, Ypsilanti MI, Wayne MI, Orion MI, Huntington Woods MI, Franklin MI, Waterford MI, Farmington MI, Canton MI, Rochester MI, Beverly Hills MI, Dearborn Heights MI, Clarkston MI, Oakland MI, Madison Heights MI, New Hudson MI, Pontiac MI, Grosse Pointe Park MI, Grosse Pointe MI, Oakland County MI, Berkley MI, Ferndale MI, Commerce MI, Eastpointe MI, White Lake MI, South Lyon MI, Brighton MI, Hamtramck MI, Sterling Heights MI, Highland MI, Keego Harbor MI, Rochester Hills MI