A law firm other lawyers call to help them and their clients with investment misconduct claims
Our investment fraud lawyers are nationally recognized for representing individual and institutional investors in securities arbitration, mediation and litigation to recover losses caused by the misconduct of stockbrokers, brokerage firms, financial advisors, and insurance companies. The firm has the highest peer ratings by all three of the major attorney rating services -- The Best Lawyers in America®, Martindale-Hubbell, and SuperLawyers. Pursuing investor claims and class actions is all we do; all day, every day. Many of our clients are referred to our law firm by their family lawyer, business lawyer, accountant or new financial advisor.
Our goal for this website is to provide up-to-date and comprehensive information and resources for individuals who believe they, or someone they care about, may have suffered investment or other financial losses caused by investment misconduct. We do this by regularly adding new content (not merely copied from other websites) in our sections on Investor News, Articles, Current Investigations, Frequently Asked Questions, and on our Investor Blog. We also created numerous Informational Videos on a wide range of topics relating to investment misconduct. We hope you find these resources helpful.
When you trust a stockbroker or financial advisor with your investments, you are entrusting that advisor with your future financial security. When that trust is broken and the broker commits fraud, mismanages your investments or engages in unethical or illegal conduct, you should consult an experienced investment fraud attorney.
How do I find the best attorney for me to pursue my investment fraud case?
The short answer is that you need to do your homework. It is not as easy as downloading the name of a lawyer from the Internet who claims to be "the best securities arbitration lawyer in the country." Investors should contact a securities law firm that demonstrates a strong commitment to investor claims, has the experience representing investors successfully and has the resources and depth to work up the cases properly. We invite you to explore our website to learn more about our firm and why we stand out from the rest. We encourage you to contact us if you would like to learn more about what we do and how we do it.
Watch what two of our clients have to say about how the firm handled their separate investment misconduct claims:
David Meyer is a renowned securities fraud lawyer who can help you.
Nationally recognized by fellow attorneys as a top AV-rated firm, and listed in the 2011 edition of The Best Lawyers in America®, attorney David P. Meyer and his legal team have the expertise, experience and financial resources necessary to obtain the best results possible for our clients in the area of securities and investment law. We have won jury verdicts, arbitration awards and settlements of hundreds of millions of dollars for investors across the country, and our firm's founding principal, investment fraud lawyer David P. Meyer, has the honor of having won the largest jury verdict in Ohio's history, a jury verdict in excess of $260 million on behalf of 250 retirees against Prudential Securities.
Avoid Becoming a Victim of the "Free Lunch" Investment Seminar Scam -
Watch Mr. Meyer's interview here:
Our lawyers are licensed in California and Ohio, and we represent investors nationwide in securities fraud and investment loss claims in arbitration and court. If you need a securities law firm to fight for your financial interests, a law firm that is highly rated by its peers and valued by its clients, please complete the form on this page or call us toll-free at 1.866.827.6537. We are ready to help.
We never charge a fee for our consultation, and we handle all cases on a contingent fee basis.
Common Investment Misconduct Claims
Misconduct by stockbrokers and financial advisors can come in many forms, including the overconcentration of client portfolios in high-risk stocks and recommendations to invest in products unsuitable for clients' goals and objectives When investment losses are caused by the fraud or misconduct of brokers or brokerage firms, there is legal process available to recover those losses. If you or someone you care about has been the victim of broker misconduct, contact an experienced investment fraud attorney at David P. Meyer & Associates.
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We Represent Investors Who are Victims of Broker Misconduct or Fraud - David P. Meyer & Associates
Investment Fraud Attorney Discusses New Wall Street Reform Being Signed into Law Today
Grand Rapids stockbroker Martin Wegener and New England Financial alleged fraud
Investment Fraud Attorney Discusses Duty of Broker to Recommend Appropriate Investments
Investment Fraud Attorneys Help Investors Harmed By the Misconduct of a Broker or Brokerage Firm
Securities Fraud Lawyer Explains that Brokerage Firms Have a Duty to Supervise Their Brokers
Investment Fraud Lawyer Discusses The Number One Question People Have When They Want To File A Claim Against Their Broker
Securities Fraud Attorney Advises That Brokerage Firms Owe Investors a Fiduciary Duty in Many Jurisdictions
Investment Misconduct Attorney Talks About the Overconcentration of Investment Portfolios
Investment Fraud Attorney Says Check Brokers' Licenses Before You Hire Them
Investment Fraud Atttorney Explains that Brokerage Firms Have a Duty to Supervise Their Brokers
Broker Misconduct Attorney Discusses Mandatory Arbitration And How It Relates To Your Claim
Investment Fraud Attorney Discusses the Life Cycle of Securities Arbitration Cases
Investment Fraud Attorney Represents Investors Nationwide Who Have Been Victims of Investment Misconduct
Securities Fraud Attorney Discusses Why It Is Important You Have An Experienced Attorney For Your Investment Misconduct Case
Security Fraud Attorney Explains That Senior Citizens Are The Number One Target of Investment Fraud
Securities Fraud Lawyer Talks About the Arbitration Process - From Start to Finish
Broker Fraud Attorney Offers Free Book With Tips On How To Avoid Becoming A Victim Of Investment Fraud
Our six lawyer firm is devoted solely to investor claims and class actions.
Every securities arbitration/litigation client that hires our firm is assigned two lawyers to their case.
Our lawyers have over 50 years of collective legal experience.
Mr. Meyer won the largest jury verdict ever in the state of Ohio - $260 million verdict against Prudential Securities.
The firm employs a full time investigator on staff.
I was approached by an investment representative who claimed that he was a “senior specialist.” Is that a legitimate designation?
Are bond funds safe investments?
I am considering investing in a reverse convertible. How should I protect myself from loss?
Is legal representation required in securities arbitration?
What types of documents do I need to provide if I pursue a claim against my broker in securities arbitration?
Can I file a complaint against my broker, in addition to pursuing arbitration?
Do the investment fraud attorneys at David P. Meyer & Associates handle broker fraud claims nationwide?
What legal fees will I incur?
What role does the securities fraud attorney play in pursuing my claim?
After 45 years of marriage, I am now in charge of my investments. Prior to my husband’s death, he handled all of our financial decisions. What can I do to protect myself from investment fraud?
My wife and I are retired and receive a lot of telemarketing calls pressuring us to make investments. Is there a way to stop these calls?
How do I know if my broker was negligent?