As an investor, you likely put a lot of trust into your broker or financial advisor. You expect they will act in your best interest, make suitable investment recommendations, disclose potential risks, and avoid conflicts of interest. Unfortunately, billions of dollars are lost each year due to investment fraud and stockbroker misconduct.
At Meyer Wilson, we help investors who have been the victim of wrongdoing recover losses. Our lawyers work tirelessly to ensure our clients receive the most extensive recovery possible. We proudly serve clients in Columbus and throughout Ohio.
Our investment and securities fraud attorneys know what it takes to win. We have extensive experience handling a wide array of cases, including arbitrations before FINRA, AAA, JAMS, and the NFA, class action lawsuits, and investor claim litigation. We represent individual and institutional investors, always working to obtain justice for our clients.Our Columbus Legal Team:
Michael J. Boyle
Adele M. Hyde
The legal team at our Columbus office includes multiple lawyers and a full support team. We are here to help you recover your investment losses. Our award-winning, nationally-recognized investor claims attorneys can help you understand your rights and determine whether you should pursue litigation or arbitration to recover losses.
If you have suffered financial losses related to misconduct or wrongdoing by a stockbroker, financial advisor, or brokerage firm, you might be eligible for recovery. Contact our office
now at (614) 532-4576 for a free, no-obligation consultation. Cases are handled on a contingency fee basis, meaning you pay no fees unless we win. Get the dedicated representation you deserve. Call now to speak directly with an attorney.
Our Columbus Office
Located in the Arena District of Columbus, our Ohio team is ready to hear the details of your case and offer a consultation on next steps. Contact us
at (614) 532-4576 or find us at
305 W Nationwide Blvd,
Columbus, OH 43215