Our FINRA Securities Arbitration Attorneys are actively involved in arbitration cases on behalf of defrauded investors in numerous broker/dealer misconduct arbitration claims. If you feel your broker has breached his fiduciary duty or engaged in other misconduct, please contact our office for a free consultation. Our experienced FINRA arbitration claims department lawyers have more than 33 years of experience in securities law will look at your information and evaluate your case with no cost or obligation to you. Let our experience help you, contact us today for a FREE case evaluation.
Current FINRA Arbitration Investigations:
Live Nation Entertainment, Inc. [NYSE: LYV]; based in Beverly Hills, California; incorporated in Delaware Case #: 18-cv-4042 Court: USDC, Central ...Read More
Colony NorthStar, Inc. [NYSE: CLNS]; based in Los Angles, California; incorporated in Maryland Deadline: 06/05/2018 Case #: 18-cv-2888 Court: USDC, ...Read More
IZEA, Inc. [NASDAQ: IZEA]; based in Winter Park, Florida; incorporated in Nevada Deadline: 06/04/2018 Case #: 18-cv-2784 Court: USDC, Central ...Read More
Synacor, Inc. [NASDAQ: SYNC]; based in Buffalo, New York; incorporated in Delaware Deadline: 06/04/2018 Case #: 18-cv-2979 Court: USDC, Southern ...Read More
Longfin Corp. [NASDAQ: LFIN];based in New York, New York; incorporated in Delaware Deadline: 06/04/2018 Case #: 18-cv-2933 Court: USDC, Southern ...Read More