If you suspect you were the victim of investment fraud by a broker or financial advisor, don’t wait to take action. Consult with a qualified Nevada investment fraud lawyer immediately.
At Meyer Wilson, our Las Vegas securities fraud lawyers have recovered over $350 million for clients nationwide who suffered catastrophic losses due to stockbroker misconduct, Ponzi schemes, misrepresentations, and other deceptive practices.
Our team understands the emotional turmoil and financial devastation caused by investment fraud. Don’t let fraud derail your financial future. Contact our Nevada investment fraud lawyers today for a free, confidential consultation.
What Is Securities Fraud?
Securities fraud encompasses a wide range of deceptive and manipulative practices related to the buying and selling of stocks, bonds, investment products, and financial instruments.
At its core, it involves the intentional misleading of investors through material misrepresentations or omissions of key facts. It can also involve unintentional yet negligent errors made by typically reputable and competent financial advisors and institutions.
Common examples include Ponzi schemes, pump-and-dump stock manipulation, insider trading based on non-public information, and brokers making unsuitable investment recommendations for the purpose of generating commissions rather than acting in the client’s best interests.
Red Flags of Potential Securities Fraud
Here are some factors that indicate it may be time to reach out to an investment fraud lawyer:
- Promises of unusually high, guaranteed returns with little to no risk
- High-pressure sales tactics and artificial deadlines to invest immediately
- Unregistered or unlicensed investment products and sellers
- Complex investment details lacking full transparency
- Claims that seem too good to be true compared to normal markets
- Irregularities with accessing funds or account statements
We Have Recovered Over
$350 Million for Our Clients Nationwide.
Why You Need a Securities Fraud Lawyer in Las Vegas
Allegations of securities fraud violations are extraordinarily complex legal matters. You need an experienced securities fraud attorney serving Las Vegas, NV, with knowledge and extensive experience in this niche area of practice.
There are a few key reasons why retaining qualified legal counsel is absolutely critical:
In-Depth Understanding of Securities Laws and Regulations
Federal laws and copious SEC and FINRA rules govern securities fraud cases. An investment fraud lawyer understands all the nuances and knows precisely what must be proven.
Mandatory FINRA Arbitration Process
The vast majority of investor disputes must go through binding arbitration before the Financial Industry Regulatory Authority (FINRA) rather than court litigation. This requires following highly technical procedures and rules of evidence. Our attorneys have in-depth knowledge of these rules and procedures and can represent you at these hearings.
Pursuing Maximum Compensation
Successfully proving securities fraud is just the first step. Your lawyer will pursue all available damages you may be entitled to – compensatory, rescission, punitive damages, interest, fees, and more to maximize your recovery.
Extensive Investigation and Case-Building
Preparing a strong securities fraud case requires an exhaustive investigation – securing all relevant records, interviewing witnesses, consulting experts, establishing a clear pattern of misconduct, and more. Our dedicated legal team has the resources for this arduous process.
Advocacy Against Intimidation Tactics
Going up against large financial firms with high-powered legal teams can be extremely intimidating for individual investors. Your securities attorney will serve as an aggressive advocate, protecting your rights at every turn.
What Can a Securities Fraud Lawyer Serving Las Vegas Help With?
A qualified securities fraud lawyer serving Las Vegas, NV, can skillfully represent you in a wide variety of investment loss situations stemming from wrongdoing, including:
- Stockbroker misconduct (churning, unauthorized trades, unsuitability, etc.)
- Ponzi schemes and other fraudulent investments
- Misrepresentation or omission of material facts in securities sales
- Breach of fiduciary duty and lack of due diligence by brokers
- Manipulation, insider trading, and abuse of non-public information
- Failure to supervise employees by investment firms
- Improper handling of investment accounts (theft, misappropriation, etc.)
Our lawyers are nationwide leaders in investment fraud cases.
Why Choose Us?
At Meyer Wilson, our investment fraud attorneys serving Las Vegas have recovered over $350 million for our clients in cases spanning more than 25 years. We refuse to be outworked or intimidated – bringing the highest level of dedication and tenacity to aggressively protect your rights and interests.
Our team has in-depth experience representing investors who have suffered catastrophic losses due to deception and fraudulent brokerage practices. As a nationally recognized securities firm, we have the skills and resources to investigate, build an unassailable case strategy, and fight relentlessly to achieve the maximum possible recovery for you.
We Are The firm other lawyers
call for support.
Contact a Securities Fraud Law Firm Serving Las Vegas for a Free Case Evaluation
No matter how complex your situation or how large the financial institution involved, we have the experience, determination, and proven track record to take decisive legal action and secure a favorable outcome.
Your consultation is free of charge, and we only accept cases on a contingency fee basis, so there is no upfront cost to you for getting the legal help you need.
Don’t let stockbroker fraud derail your financial future – contact Meyer Wilson today for a free, confidential consultation with an investment loss recovery professional.
Recovering Losses Caused by Investment Misconduct.