Learn more about how Ohio securities fraud attorney can protect you if your financial advisor fraudulently or deliberately caused you to experience significant financial losses. Every day, investors across the country put their money and their trust into the decisions of financial advisors, only to find out that they have been taken advantage of. If for any reason, you have financially suffered from similar disregard, contact our team of cleveland lawyers who can help you with securities fraud litigation.
Learn more about how Ohio securities fraud attorney can protect you if your financial advisor fraudulently or deliberately caused you to experience significant financial losses. Every day, investors across the country put their money and their trust into the decisions of financial advisors, only to find out that they have been taken advantage of. If for any reason, you have financially suffered from similar disregard, contact our team of cleveland lawyers who can help you with securities fraud litigation.
We are an exemplary team of Ohio securities fraud attorneys who know how stockbrokers and financial advisors perform their duties. We also know that those individuals who took advantage of you will in many cases have taken advantage of many others as well. Therefore, it is imperative that you retain a business litigation attorney to fight for your rights and pursue the justice that you deserve.
Our team of Cleveland lawyers understands how securities fraud works, and how complex and difficult investigation of those allegations can be. When it comes to stocks and investments, it is solely your decision on how you choose to divide those assets, as well as if and when you purchase or sell them. Our team of Cleveland lawyers also understands that many people have provided their financial professionals with the capacity to make all of their financial decisions for them.
In spite of the fact that financial advisors are usually not responsible for any financial losses that you experience, they are professionally and ethically bound by a variety of responsibilities with the intention to limit any potential financial losses you face. Known as fiduciary duties, these responsibilities may have been compromised by your stockbroker's deliberate misrepresentation, omission or another type of fraudulent activity. If you are a victim of this type of fraudulent activity, under Ohio business law, you have the legal right to pursue justice.
Stockbrokers are not permitted to make stock trades for you without your consent. However, if your investment broker sells or buys your stocks for the single purpose of generating commissions for themselves, they are breaking the law. When your financial advisor breaks the law in this manner, it is called churning. When a stockbroker makes the poor decision to participate in churning, often, it will encourage them to provide you with questionable investment advice.
If you have been a victim of churning or other securities fraudulent activity, contact our team of business litigation professionals today. Most often, many other people have been unlawfully victimized by misrepresentation, churning and other fraudulent activity. This can create the need for a class-action lawsuit, and at our firm, we have the experience, resources and skill that is needed to pursue often complex and difficult class-action lawsuits.
Our law firm, Seaman Garson, will provide you with an exemplary team of business litigation attorneys for all of your financial securities needs. Our office is located at 614 W. Superior Ave., 16th floor, Suite 1600 in the Rockefeller Building in Cleveland. You can contact us any time via telephone at 216-592-8741 as well as toll-free at 866-409-6215. You can also contact us on the Internet at www.businesslitigation-attorney.com.