Missouri Broker Misrepresentation Attorney
Investing in stocks and other financial products can be fraught with risks, and investors can legitimately lose large sums of money.
Sometimes the losses are not the result of the natural ebb and flow of the financial markets, but are instead a result of securities fraud or stockbroker malpractice. Did your stockbroker sell you an investment that was entirely unsuitable for you? Was your broker's primary goal to generate sales commissions rather than investment income for you? If so, you may have a right to pursue financial compensation of your losses.
The lawyers of Allan & Summary, L.C., represent victims of securities fraud. We seek financial compensation for those whose losses were caused by:
- Stockbrokers
- Analysts
- Brokerage firms
- Corporations
- Investment banks
What Is Securities Fraud?
Securities fraud occurs in three main forms:
- Insider trading — when information not available to the public is used to make money on stocks and trades
- Accounting fraud — intentionally altering books and numbers to appear to have more or less money than is truthful
- Misrepresentation — presenting false information to the public to skew the image of the company
- Mismanagement — in a small or closely-held private company, failure sometimes comes from gross negligence or mismanagement of the company.
With experience in many aspects of business and commercial law, Allan & Summary serves individuals and companies in criminal and civil matters pertaining to securities and securities fraud. You can learn more about investment laws on our website. To find out if you have a valid securities fraud claim, please contact us online, call 314-480-6534 or call toll free 866-920-8259.
Client-Focused Service to Meet Your Needs
The law firm of Allan & Summary arranges fees that are comfortable for clients. To schedule a free initial consultation with a St. Louis securities fraud attorney, please contact us online, call 314-480-6534 or call toll free 866-920-8259.
