Many investors suffer financial losses as a result of missteps -- either improper or illegal -- by their stockbrokers or financial advisors. Our areas of expertise include a careful review, analysis, and, if required, litigation arbitration, or mediation of:
 
Churning/Excessive Trading
Unsuitable Recommendations
Unauthorized Trading
Fraud and Misrepresentation
Overconcentration/Lack of Diversification
Unauthorized Margin
Excessive Margin
Failure or Refusal to Execute an Order
Switching of Mutual Funds
Selling Away
Failure to Supervise and Manage
Variable Annuities

 

Please contact Robert C. Port at (678) 775-3550 for further information.






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