|Securities litigation and FINRA Arbitration Law Firm of Attorney Daniel A. Bakondi Esq. fights for every penny due to his clients as a result of investment fraud losses and stock broker misconduct. If you have large scale losses to your securities or investment portfolio, it may not be your fault.
Often, losses that appear to be the result of market conditions are actually the result of stock broker misconduct, financial advisor fraud or negligence, or the negligence of the broker dealer firm that approved the investment for sale. Your broker never tell you what rules and laws he or she may have violated that may have caused your investment loss. We will.
Only an experienced securities attorney can tell you what your broker did not disclose, what information he had or did not have about your investment, and whether he was paid a special commission to recommend an investment to you. Negligence, failure to adequately diversify, warn of risks, or over concentration of an investment portfolio (too much of your investment in an investment or class of investments) are other violations which may allow for a recovery of your investment loss.
The law limits the time you have to seek a recovery. Contact us to discuss your case now.
Attorney Daniel A. Bakondi, Esq.
The Law Office of Daniel Bakondi
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IMPORTANT NOTICE: No attorney-client nor confidential relationship is created through this communication. Nothing communicated or provided constitutes legal advice nor a legal opinion unless it so specifies and written agreement for attorney services has been entered into. Attorney licensed in California only. Your issue may be time sensitive and may result in loss of rights if you do not act in time. Thank you.