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SECURITIES AND INVESTMENT FRAUD ATTORNEYS
Trusted Law Firm for Investment Loss and Securities Fraud
Stockbrokers and financial advisors have a duty to recommend investments that are appropriate and beneficial for you based on your specific circumstances. Unfortunately, this doesn’t always happen.

Some brokers and advisors participate in fraudulent and unfair practices such as:

Unauthorized trading
Churning
Overconcentration
Ponzi schemes
Excessive 401(k) fees
Outright theft
Unsuitable investment recommendations
Much more
Pursuing investor claims and class/mass actions is what we do; all day, every day. Many of our clients are referred to our securities and investment fraud law firm by their personal lawyer, accountant, or a new financial advisor.

At Meyer Wilson, we help individuals who believe they or someone they care about suffered financial losses as a result of investment misconduct. Do you want to sue your stockbroker? Talk to us about securities arbitration.

Following financial losses caused by fraud, negligence, or misconduct, working with the right investment fraud team can make all the difference. We know this is a difficult time for you, which is why we handle cases on a contingency fee basis. This means we only earn a fee if money is recovered at the end of your case.

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  • SaturdayClosed24 hours open
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