Financial Services Litigation Lawyers
Insurance and annuity companies, investment professionals and employers are often entrusted with managing large sums of money on behalf of investors. All too often, those professionals abuse that trust, especially when the funds belong to elderly, incapacitated or other financially unsophisticated investors.
Sanford Heisler, LLP is dedicated to protecting employees, investors, policyholders and retirees from unscrupulous companies, stockbrokers, and investment advisers that take advantage of them in securities and other financial services transactions, whether through purposeful misrepresentation, poor decision making, inappropriate or exorbitant fees, investment misconduct or other abusive behaviors.
We Will Help Recover Your Financial Losses
Federal and state laws increasingly offer victimized investors and groups the means to recover the value of their investments when they are victimized by mismanagement of their 401(k)s; retirement funds; stocks, mutual funds, bonds or other securities; annuity or life insurance products; and other investments.
Our Financial Services practice is staffed with experienced investment and securities lawyers who have spent their careers in the securities and financial services industry and are skilled at recognizing and appropriately responding to the misrepresentation, fraud and abuse that occurs in these sectors. We stay abreast of the consumer legislation that has increasingly leveled the playing field between abusive financial institutions and the investor groups and individuals they have historically victimized.
If you or someone you care about has been taken advantage of in a securities or other financial transaction, Sanford Heisler can help right that wrong.