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You can reach out to our professional team for dedicated support if you face more than $100,000 in investment losses caused by misconduct by a financial advisor, stockbroker, or investment firm in Cincinnati, OH.
A Cincinnati securities and investment fraud lawyer from our team at Meyer Wilson can assist with FINRA arbitration and may explore other methods to bring you compensation for the losses you face. We have over 75 years of combined experience with misconduct in the securities industry, and we’re ready to help you.
An Ohio investment fraud lawyer from our team can walk you through your next steps and support you every step of the way.
Notable Settlements for Our Team
We believe in helping victims of investment fraud secure maximum compensation for their losses. For example, we recently secured over $260 million for a group of more than 200 retirees who had a case against Prudential Securities.
We also helped a 100-year-old widow secure $30 million and brought $10 million to a group of retirees who lost money due to financial misconduct. You can learn more about our reputation for success by reaching out to an investment fraud lawyer today.
We can help if you face losses because of improper actions by brokers or financial advisors. Unfortunately, if financial professionals were not involved in your losses, we generally cannot help.
We Have Recovered Over
$350 Million for Our Clients Nationwide.
Cases an Investment Fraud Lawyer Serving Cincinnati, OH, Can Handle
Our firm has helped victims of fraud recover the damages they’ve incurred for decades. As a result, our investment fraud lawyers from Ohio have experience working on a wide range of cases, from unsuitable investment recommendations to misrepresentations and theft.
For example, you can reach out to us for help from a:
- Cincinnati Excessive Trading and Churning Lawyer: We use our extensive experience to help with claims involving churning and other forms of unauthorized trading carried out by financial advisors or other professionals.
- Cincinnati FINRA Arbitration Lawyer: Our team can help if you need to go through FINRA arbitration to get compensation from your investment advisor or brokerage. Most investment fraud cases go through FINRA arbitration.
- Cincinnati Investment Loss Recovery Lawyer: Our deep knowledge of securities laws allows us to confidently help with investment loss recovery.
- Cincinnati Ponzi Scheme Lawyer: Ponzi schemes can result in significant financial losses. If your investment broker or another financial professional encourages you to take part in this type of scheme, we may provide assistance.
- Cincinnati Real Estate Scams Lawyer: We’re ready to help if your broker or investment advisor costs you money through a real estate scam.
The above list contains examples of the types of investment fraud claims we handle. If you’ve suffered significant losses, don’t hesitate to contact our firm. A securities fraud lawyer serving Cincinnati, OH, can review the specifics of your situation today.
How Our Investment Fraud Attorneys Serving Cincinnati, OH, Can Help You
At Meyer Wilson, our lawyers keep their caseloads low, allowing them to give your case the time and focus it deserves. That way, they can take all the actions required to recover a fair settlement on your behalf. Here’s what your securities fraud attorney will do to recover maximum compensation for you:
- Gather evidence and work with forensic accountants to build a strong case
- Research if prior complaints or disciplinary actions have been taken against the financial advisor or firm to establish a pattern of misconduct
- File a complaint with the Financial Industry Regulatory Authority (FINRA) or other appropriate arbitration forum
- Explain what FINRA arbitration isÂ
- Initiate FINRA’s arbitration process and advocate on your behalf throughout the arbitration process
- Negotiate a settlement with your financial advisor or brokerage firm or take the case all the way to the end through a final arbitration hearing
- Educate you on your legal rights and answer any questions you have about your case
You can rely on a securities and investment fraud attorney serving Cincinnati, OH, to assist when taking legal action. FINRA arbitration is binding, so going through the process can bring you compensation.Â
Our lawyers are nationwide leaders in investment fraud cases.
Compensation You Could Receive Through Arbitration
When you work with a securities fraud attorney serving Cincinnati, OH, we can pursue all the financial remedies you need to regain your financial position before an act of fraud.
If your case is successful, you could receive several more of the following damages:
- Trading loss
- Dividends and interest
- Money your investment would have earned if someone properly managed your account
- Rescission of a contract with the broker
- Require the return of any profits that your advisor obtained improperly or unlawfully
- Punitive damages
- Attorney’s fees
As you can see, there are many different forms of compensation you can potentially receive with the help of a seasoned attorney. If you hire a lawyer from our firm, they’ll review your losses and identify all the damages you can receive. Then, they’ll push for the maximum payment for each loss you’ve incurred.
Our securities and investment fraud lawyers serving Cincinnati have a history of recovering impressive settlements for individuals affected by many types of securities fraud. Once you review our past case results, you’ll realize our legal team is committed to making life-changing recoveries for all our clients.
We Are The firm other lawyers
call for support.
How to Identify Investment Fraud
Investment fraud can have serious consequences for investors, leading to significant financial losses and damage to their long-term financial prospects. Our team can help you identify types of fraud and broker misconduct.
To identify fraud, it helps to define it clearly. Simply put, investment fraud is a type of financial fraud that involves deceitful or illegal practices by individuals or companies. It can take many forms, but it typically consists of misrepresenting information about an investment to convince investors to give their money away.
Fraud can be difficult to recognize, so it’s essential to be aware of the signs. Red flags include low-quality investment websites, unsolicited investment offers (primarily via email), financial advisors from foreign countries, and misrepresenting facts. If you notice any of these signs, it’s essential to reach out to a securities fraud lawyer right away.
Contact Our Team for Help with Investment and Securities Fraud
If an advisor has committed fraud or other legal violations against you, our team is here to help you understand your rights and fight for the compensation you deserve. If you suspect you have fallen prey to investment fraud, Meyer Wilson can offer you a free and confidential review of your case.
A Cincinnati securities and investment fraud lawyer can help you explore your legal options during your case review. If we find that you’re entitled to receive compensation and agree to take on your case, we’ll guide you through the arbitration process and fight for a fair outcome.
Contact us today to schedule your case review and take the first step toward financial recovery.
Recovering Losses Caused by Investment Misconduct.