Securities Arbitration Lawyers Florida
The Law Offices of Place & Hanley, LLC is a nationally recognized
securities and commodities arbitration law firm which represents
investors nationwide. At Place & Hanley we represent investors in
claims against their brokers, broker dealers, investment advisors,
financial advisors and insurance companies. Our securities lawyers
represent investors who have lost their savings when their brokerage
accounts were mishandled. Our attorneys are experienced in providing
focused and aggressive representation for investors who have been the
victims of financial fraud, negligence and unsuitable investments. Our
firm has experience in prosecuting claims against the major Wall Street
firms, including Morgan Stanley Smith Barney, Merrill Lynch, Wells
Fargo, UBS, Oppenheimer as well as many mid-sized broker dealers.
Our attorneys have recovered millions of dollars for individual
investors. Our firm has experience handling group arbitration claims and
class action litigation involving securities related matters. We have
successfully recovered punitive damages and attorneys’ fees for our
clients. The attorneys and staff at the Law Offices of Place &
Hanley are committed to representing aggrieved investors who have lost
money because of the negligent or willful acts of the clients once
trusted financial advisor, broker and brokerage firm.
Our attorneys have represented thousands of clients nationwide who were
victims of misrepresentations, commission churning, unsuitable
investments, unauthorized transactions, execution failures, excessive
mark-ups, disappearing funds, botched transfers, "selling away" from
firms, unregistered brokers, unregistered securities, improper margin
liquidations, broker bribes, fraudulent research, "boiler room" sales
practices and other wrongful acts. Place & Hanley has prosecuted
cases involving stocks, bonds, "penny" stocks, "junk" bonds, options,
commodities, mutual funds, REIT's, limited partnerships, derivative
securities, collateralized debt obligations “CDO”, auction rate
securities and other investments.
Attorneys for the firm practice before the Financial Industry Regulatory
Authority (FINRA) which was created in 2007 through the consolidation
of the National Association of Securities Dealers (NASD) and New York
Stock Exchange (NYSE) enforcement and arbitration divisions. The firm
also represents clients in state and federal courts to resolve financial
disputes between customers, brokerage firms and other financial
institutions.
Our firm has been successful not only in recovering our client’s out of
pocket losses, but in multiple cases our clients have received punitive
damages and reimbursement of their attorneys’ fees. Please visit the
verdicts and settlements page for examples of the securities &
stockbroker fraud cases we have handled for our clients. Our success is
attributable to hard work, client dedication and an in-depth knowledge
of the securities industry.