Are you an international investor who has suffered substantial financial losses due to the misconduct of a United States brokerage firm or financial advisor? If you believe you have a securities fraud claim, you may be able to recover compensation through arbitration in the United States through FINRA and other private arbitration. Our Miami international arbitration lawyers are uniquely experienced and skilled in representing international clients from around the world.
Levin Law concentrates its practice on securities and investment fraud. Our founding attorney has recovered tens of millions of dollars for international clients victimized by stockbroker misconduct and other forms of investment fraud. With our legal skills and tenacious dedication, we will provide you with effective representation to recover your investment losses.
$35 million recovery for a family office from a brokerage firm that was alleged to have churned the client’s accounts and engaged in other wrongdoing.
$17 million in assets recovered for investor in connection with unsuitably risky derivative investment.
$13.579 million recovery from a brokerage firm that sold fraudulent securities issued by a Ponzi scheme after failing to conduct adequate due diligence of the Ponzi scheme.
FINRA is the regulatory body for securities firms operating in the United States. FINRA’s stated purpose is to protect investors by overseeing the thousands of brokerage firms and brokers who deal with investment-related wrongdoing. Moreover, when your brokerage firm or other financial institution is negligent or intentionally commits a wrong that causes you financial losses, Levin Law will bring FINRA arbitration claims on your behalf and recover such financial losses.
Securities fraud can include misrepresentations, omissions, stock manipulation, unauthorized trading, hedge fund abuses, unsuitable investment recommendations, Ponzi schemes, failure to supervise a broker, asset allocation fraud, excessive trading, and more.
Levin Law is well-versed and experienced in the FINRA mediation and arbitration processes. We have a track record of providing effective legal representation in these matters for international investors all over the world, including Central and South America, Europe, and Asia. We have all the resources needed to fully service your securities fraud claim, including translation services, long-distance communication means, coordination with local attorneys in your area, and more.
We will work diligently to handle your claim aggressively and effectively and provide the confidentiality you need. Let us use our extensive securities fraud claims experience and skills to help you today.
Contact a Miami international arbitration lawyer at (305) 402-9050 today. We look forward to speaking with you to determine your options through a free case evaluation.
Sustaining a substantial financial loss due to the misconduct of a stockbroker can be overwhelming and requires trusted professional assistance. Levin Law prides itself on being responsive and relentlessly pursuing justice on behalf of its clients.
Levin Law usually handles stockbroker misconduct on a contingency fee basis. If you suspect that you have suffered financial losses as a result of your investment professional’s misconduct, please contact us for a free case evaluation. Our firm is dedicated to providing you with the highest quality of legal representation and recovering money for you.
Contact the top-rated stockbroker misconduct attorney at (855) 419-2412 today. We look forward to speaking with you to determine your options through a free case evaluation.