A National Securities Arbitration & Investment Fraud Law Firm - Elder Financial Fraud Attorneys

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FINRA Arbitration Attorneys

Speak with a securities arbitration attorney now

You pay NOTHING unless we successfully recover your money

Let us work hard to recover your money

If you’ve lost money with a securities broker or firm but don’t know why, you may be the victim of securities fraud (AKA: financial fraud or investment fraud). But investors have rights, including the right to get their money back.

You pay nothing for our service unless we recover damages

Our experienced FINRA arbitration attorneys will attempt to recover your lost assets through FINRA arbitration. You pay absolutely nothing for this service unless we successfully recover damages.

How we identify investment fraud

Our securities fraud attorneys analyze your portfolio, looking for instances of:

  • Excessive trading (also known as churning)
  • Unsuitable investments
  • Lack of diversification
  • Overuse of margin
  • Failure to supervise
  • Power of attorney fraud
  • Selling away
  • High income products and junk bonds
  • Improper withdrawals
  • Material omissions
  • Ponzi schemes
  • Other types of misconduct or securities fraud

If our analysis indicates that securities fraud has occurred, our FINRA arbitration attorneys will speak with you about how you can attempt to recover the funds you lost.

What is FINRA Arbitration?

The Financial Industry Regulatory Authority, commonly called FINRA, is a non-governmental agency authorized by Congress to protect America’s investors from investment fraud. FINRA arbitration is a fast and effective way to address disputes and potentially recover your money.

Is your broker or brokerage firm on our securities fraud watch list?

Active FINRA broker complaints and disputes are documented for these brokers and brokerage firms. If you have worked with one of these brokers or firms, get in touch immediately.

Brokers at Morgan Stanley

  • Andrew Yocum
  • Jeffrey R. Wilson

Brokers at Raymond James

  • Martin “Skip” L. Waldeman
  • Ralph W. Smith
  • Curtis T. Hinshaw
  • Scott A. Sibley

Brokers at Cetera Advisors

  • Daniel B. Vazquez Sr.
  • Bruce M. Sabourin

Other Brokers and Firms

  • Larry C. Wolfe, a former broker at Herbert J. Sims & Co., Aegis Captial Corp., Stoever, Glass & Company
  • Leon Vaccarelli, a former Connecticut broker at The Investment Center and Lux Financial Services

About Silver Law Group

Silver Law Group is a team of securities arbitration lawyers, forensic accountants, and support staff who are dedicated to helping investors recover losses through FINRA arbitration and litigation.

The firm is led by Scott Silver, a former Wall Street defense attorney, who has been representing customers in securities and investment fraud cases since 2002. Scott is admitted to practice in New York and Florida and the firm represents investors nationwide.

Speak with an experienced securities fraud attorney

You pay NOTHING unless we successfully recover damages

FINRA Arbitration Attorneys
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