Have you suffered meaningful financial losses because your financial advisor mismanaged your investments? Has your stockbroker engaged in misconduct? Has your private banker, investment advisor, or brokerage firm deceived or exploited you or a loved one?
At Levin Law, we help recover assets for clients who have suffered financial losses because of the intentional wrongdoing or negligence of their financial advisor, stockbroker, investment advisors, private banker, or brokerage firms. Our experienced Michigan securities and business litigation lawyers have the experience and skillset necessary to aggressively pursue your claims and recover your financial losses. With a global reputation for aggressively, effectively, and efficiently recover funds for investors, Levin Law’s clients rest assured knowing that they are being zealously represented to help recover their investment damages.
As Michigan financial fraud attorneys, we handle all types of securities misconduct and related matters. We represent individual investors, institutional investors, family offices, and others in claims for investment-related wrongdoing against Michigan brokerage firms, private banks, investment advisors, commodities firms, hedge funds, and other.
Our firm provides highly-qualified legal representation for cases involving:
Practicing for more than a decade, our founding attorney’s extensive litigation background includes a recovery of $17 million in assets for a family office and an aggregate recovery of approximately $13 million for damages caused in a leveraged real estate fund by a European bank on behalf of aggrieved clients in Latin America. His formidable legal skills and in-depth knowledge of the financial industry have won him recognition as a Rising Star®, inclusion to the distinguished Super Lawyers® list, the highest peer-reviewed ratings by Martindale-Hubbell®, and lifelong inclusion as a member of the Multimillion Dollar Advocates Forum.
We also represent financial-industry professionals and others in employment-related and trading claims against financial institutions. Additionally, we represent parties in consumer and securities-related class actions and whistleblower actions as well as parties in business disputes and more.
These additional practice areas include cases involving: