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Industry News & Information

Part of what makes Meyer Wilson so unique is that we do not spread our resources thin over many different legal practice areas; nor do we take on a large caseload of investor claims cases. Investment and securities arbitrations and lawsuits require a deep understanding of the securities industry and tremendous attention to detail.

Meyer Wilson Investigates Broker Tony Barouti for GWG L Bond Sales
07/13/2022
Broker David Geake Facing Over $500k in Unsuitable Investment Claims
07/08/2022
Mark Just of Triad Advisors Accused of Selling Unsuitable Investments
07/07/2022
Meyer Wilson Investigates Alvery Bartlett for Alleged Unsuitable Investment Recommendations
07/06/2022
Has Matthew Divirgilio Sold You Inappropriate Investments?
07/05/2022
Attorney Courtney Werning Named Principal At The Meyer Wilson Law Firm
07/01/2022
NRIA Files Bankruptcy After Multiple Investigations
06/30/2022
Meyer Wilson Investigates Mark Lott
06/29/2022
Representative Jamel Gordon Resigns After Failure to Follow Firm Procedures
06/28/2022
Broker David Gershoni Investigated
06/27/2022
Meyer Wilson Investigates Broker Robert Wolfe
06/24/2022
Representative Joshua Mauk Voluntarily Resigns Amidst Internal Investigation
06/23/2022
Broker Bruce Amman Terminated After Private Securities Transactions
06/22/2022
Have You Suffered Investment Losses Working With Investment Adviser Cristopher Bice?
06/21/2022
Have You Suffered Financial Losses With Investment Adviser Kenneth Blumberg?
06/17/2022
Broker Donovan Kelly Suspended for Recommending Private Placement Purchases
06/16/2022
Have You Suffered Losses in Hospitality Investors Trust REIT?
05/20/2022
Recover Your Losses in GWG Holdings, Inc. with Meyer Wilson
05/19/2022
Did You Invest With Morgan Stanley Broker Shawn E. Good?
05/17/2022
Can My Broker or Financial Advisor Trade in My Account Without My Permission?
05/10/2022
FINRA Grants Largest Ever Award for UBS YES Case
05/10/2022
Can I Get My Money Back After Investment Fraud?
05/10/2022
Meyer Wilson Representing Investors in Annuity Misrepresentation Case
03/25/2022
SEC Indicts Former LPL Broker Kerry L. Hoffman on $3.3m Investor Fraud
03/25/2022
New Jersey Broker Andrew F. Perry Faces Investor Complaints
03/24/2022
Ma Rosa Linan Abrego Barred by FINRA Over Misappropriation Inquiry
03/24/2022
Did Michael Chandler of Infinex Investments Inc. Sell You Non-Traded REITs?
03/24/2022
Did Gustavo Miramontes Make Unauthorized and Unsuitable Trades in Your Account?
03/23/2022
Did You Lose Money in an Account Managed by Former Cetera Investment Advisers Broker Hui Zhang?
03/21/2022
Did Michael May Engaged in Unsuitable Trades in Your Account?
03/20/2022
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4781 Richmond Rd.
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Warrensville Heights, OH 44128
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248-817-8214
41000 Woodward Ave.,
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Bloomfield Hills, MI 48304
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The information contained in this Website is provided for informational purposes only, and should not be construed as legal advice on any subject matter. No recipients of content from this site, clients or otherwise, should act or refrain from acting on the basis of any content included in the site without seeking the appropriate legal or other professional advice on the particular facts and circumstances at issue from an attorney licensed in the recipient's state. Read More
The information contained in this Website is provided for informational purposes only, and should not be construed as legal advice on any subject matter.
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