You worked hard your whole career to build a secure retirement nest egg, only to have it decimated by stockbroker fraud or misconduct. Don’t let this deceitful behavior jeopardize your golden years. The North Carolina investment fraud lawyers at Meyer Wilson can help you fight back.
As a preeminent nationwide securities fraud law firm, Meyer Wilson has recovered over $350 million for victims just like you through aggressive legal advocacy. Our securities fraud lawyers serving Charlotte, NC, can stand up against even the largest, most intimidating financial institutions.
You’ve earned the right to enjoy a comfortable retirement. Contact us for a free consultation to start pursuing the justice you deserve.
What Constitutes Securities Fraud?
A wide range of dishonest activities related to the purchase and sale of stocks, bonds, investment contracts, and other financial instruments are collectively referred to as securities fraud. It may entail misrepresenting information to investors, leaving out important details, or utilizing complex strategies created specifically to deceive.
Ponzi schemes, pump-and-dump stock manipulation, insider trading based on confidential information, and investment advisors making inappropriate recommendations that put commissions ahead of the interests of their clients are among the common forms of securities fraud that investment fraud lawyers see.
No matter how complex or camouflaged the fraudulent activity, our lawyers possess the skills to investigate, uncover the truth, and hold wrongdoers accountable.
We Have Recovered Over
$350 Million for Our Clients Nationwide.
Our Securities Fraud Practice Areas
Our investment fraud attorneys serving Charlotte represent clients who have suffered losses across the full spectrum of broker misconduct and financial advisor abuse, including:
- Non-disclosure or misrepresentation of investment risks and facts
- Stockbroker fraud (churning, unauthorized trading, unsuitability, etc.)
- Theft, misappropriation of funds, improper account management
- Ponzi schemes and other intentionally fraudulent investments
- Various market manipulation schemes and insider trading violations
- Breach of fiduciary duties and failure to apply due diligence
- Negligence, gross negligence, and oversight failures by firms
The Importance of Legal Representation
Securities fraud allegations demand the involvement of a skilled securities fraud attorney serving Charlotte, NC, from the outset. These are highly complex cases governed by stringent federal laws and SEC and FINRA industry regulations. There are several critical reasons to retain experienced legal counsel:
In-Depth Regulatory Knowledge
Your attorney will have a comprehensive understanding of the myriad of rules dictating industry conduct to properly evaluate and prove violations. Without this knowledge, your claim is jeopardized.
FINRA Arbitration
The majority of investor disputes must go through mandatory arbitration before FINRA rather than court litigation. Lawyers who focus their entire practice on securities fraud have intensive experience in this forum and are well-versed in its procedures and evidence rules.
Maximizing Your Recovery
Even after proving fraud, aggressively pursuing all available remedies is vital – compensatory damages, rescission, punitive damages, interest, fees, etc. A seasoned legal strategy maximizes your compensation.
Exhaustive Investigation Capabilities
Building a robust fraud case requires an extensive investment of resources – securing documentation, interviewing witnesses, consulting experts, analyzing trading data, and more. Prominent securities firms have the manpower for this undertaking.
Staunch Victim Advocacy
Wealthy financial firms will undoubtedly deploy intimidating legal teams. Your Charlotte securities fraud lawyer will be an unwavering advocate, shielding your rights and interests.
Our lawyers are nationwide leaders in investment fraud cases.
Our Approach as Your Charlotte Securities Fraud Attorneys
Our investment fraud lawyers serving Charlotte apply a straightforward, client-focused approach from day one:
- We start by listening – holding a comprehensive consultation to understand your unique situation and objectives.
- Our team investigates vigorously by reviewing all records, data, and correspondence and conducting interviews to uncover the full extent of the misconduct.
- We educate you on the legal nuances, signs of fraud, procedures, and range of potential outcomes so you can make well-informed decisions.
- Our legal strategy focuses on delivering maximum financial recovery through FINRA arbitration, direct negotiations, or potential litigation if necessary.
- You receive our full skills, resources, and relentless advocacy until your case reaches complete resolution. We do not back down until obtaining the best possible result.
We Are The firm other lawyers
call for support.
Red Flags of Potential Broker Fraud
- Promises of improbably high guaranteed returns with little-to-no risk
- High-pressure sales tactics with artificial time constraints to invest
- Unregistered or unlicensed investment products and unqualified sellers
- Lack of clear, detailed disclosure about an investment’s risks
- Claims that sound too good to be true compared to normal markets
- Irregularities with accessing account statements or funds
Contact a Securities Investment Fraud Law Firm Serving Charlotte for a Free Consultation
At Meyer Wilson, our investment fraud attorneys understand the emotional turmoil and sense of vulnerability that comes with being a victim of stockbroker fraud or misconduct. We know how devastating it can feel to have your hard-earned savings lost by deception or negligence that you did not cause.
That’s why our team operates with a profound sense of urgency, working tirelessly to investigate every angle and uncover the truth. Our aggressive legal advocacy leaves no stone unturned in pursuit of maximum financial recovery and holding wrongdoers accountable.
With our seasoned securities litigation experience and client-focused approach, we can help you regain a sense of security and the peace of mind you deserve. Reach out today to learn how we can help you in a free consultation.
Recovering Losses Caused by Investment Misconduct.