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Practice Areas
Securities Fraud
Breach of Fiduciary Duty
Regulation Best Interest
Churning
Broker Theft
Margin
Ponzi Scheme Investments
Suitability
Unauthorized Trading
FINRA Arbitration
Civil Litigation
SEC Whistleblower Claims
Failure to Supervise
Financial Advisor Malpractice
ERISA Pensions, Plans, and 401ks
REITs and Alternative Investments
GWG L Bonds
Insurance Investment Fraud
Investment Advisor Arbitration
Financial Advisor Background Check
Fiduciary Duties Owed by Registered Investment Advisors