Negligent stock broker

Negligent stock broker

Posted: bigboch Date: 11.07.2017

Since , MHC has recovered hundreds of millions of dollars of losses for institutional and individual investors. Our lawyers only work for investors; we do not represent investment banks, stockbrokers or investment firms.

Broker Negligence | Stockbroker Fraud Attorney

Investment broker negligence refers to stockbroker conduct that falls below a standard established to protect investors against unreasonable risk of harm. The cause of action for stockbroker negligence is based upon duties owed by a broker to his or her clients and the breach of that duty.

This includes the duty to exercise due diligence and care in connection with a client's account.

For example, a stockbroker who represents and characterizes a high-risk derivative product as a safe, secure and liquid investment could be considered negligent. Ultimately, stockbroker negligence can result in severe financial losses for an investor. For a free initial consultation regarding your securities claim, contact Mark Maddox at Or, fill out the contact form on this Web site to obtain candid legal advice.

Broker Negligence | Stockbroker Fraud Attorney

Is an important decision that should be made with great care. Review our credentials; contact us to discuss your case. Our securities fraud lawyers focus on recovering investment losses for individual, high net worth and institutional investors.

negligent stock broker

Investment fraud attorneys practice law in Indiana, New York, Illinois, and Michigan, and co-counsel with firms in California, Texas, and other states. Primary Navigation Home Recovering Investment Losses Practice Areas Contact Us.

Results Driven Since , MHC has recovered hundreds of millions of dollars of losses for institutional and individual investors. The Voice for Investors Our lawyers only work for investors; we do not represent investment banks, stockbrokers or investment firms.

Securities Fraud & Protection Resource Center

Stockbroker Negligence Investment broker negligence refers to stockbroker conduct that falls below a standard established to protect investors against unreasonable risk of harm. Get Answers All fields required. Leave this field empty.

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