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Securities Fraud Attorney Peter C. Rageas, P.C.

What You Need To Know About The Fiduciary Rule

What You Need To Know About The Fiduciary Rule

Now stockbrokers must do what is in the best interest of their customers-by applying a new regulation issued by the Dept. of Labor commonly referred to as the FIDUCIARY DUTY RULE. This rule should better protect customers from unscrupulous stockbrokers. Previously...

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The Ins and Outs of Margin Trading

The Ins and Outs of Margin Trading

John attended the Kentucky Derby, held at Churchill Downs in Louisville, KY. He looked at the horse Always Dreaming in the paddock area and was sure the horse could win the race. But, he was short of cash to make a bet. A friend offered to loan him $50 and says he can...

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Protecting Seniors from Being Swindled

Protecting Seniors from Being Swindled

"Seniors are often targets for fraud, and in some cases from their immediate family members. The Consumer Financial Protection Bureau has issued a “best-practices" advisory for banks to help identify financial abuse. We found the following article interesting, as it...

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Securities Fraud Awareness in Michigan

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...

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FINRA Attorney Serving Michigan and Beyond

FINRA Attorney Serving Michigan and Beyond

Financial Industry Regulatory Authority (FINRA) is a niche area of law. This includes, investor arbitration claims, defending brokers against regulatory inquiries, and representing individual brokers. The Financial Industry Regulatory Authority is the largest...

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Hours

Monday - Friday
9:00am - 5:30pm
Saturday:
9:00am - 12:00pm

Location

Law Office of Peter C. Rageas, P.C.
401 N Main St
Royal Oak, MI 48067

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 Attorney

Service Areas: Michigan, 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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