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Securities/Stockbroker Claims

For years the securities practitioners at Webster Szanyi have provided trusted and valued services to clients with sophisticated corporate and securities law issues.  On a continuing basis, our experienced attorneys have been representing clients in claims involving fraud, suitability, churning, flipping, and other types of wrongdoing by stockbrokers and financial advisors.  The representation of these individuals has included arbitrations, state and federal court lawsuits, and regulatory proceedings. Our attorneys have recovered millions of dollars on behalf of public investors. 

In all our cases, we are deeply committed to providing excellent client service. Our attorneys are prepared to do what it takes against the big brokerage houses to ensure that each individual investor will obtain the best possible result in each case.  Attorneys at Webster Szanyi have taken on some of the largest brokerage houses in the country and pursued claims on behalf of individuals suffering losses at the hands of unscrupulous stockbrokers.
 
Webster Szanyi attorneys are members of the Public Investor Arbitration Bar Association, a national organization committed to protecting public investors who are victims of improper conduct by stockbrokers and/or brokerage houses.  Our attorneys working on stockbroker claims are also members of the American Bar Association, New York State Bar Association and other national organizations. 
 
Webster Szanyi lawyers handle most securities cases on a contingency fee basis, and there is no fee charged to a client for the initial consultation.

For further information contact Michael McClaren (mmcclaren@websterszanyi.com) or Kevin Szanyi (kszanyi@websterszanyi.com).


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