Investment fraud lawyers help hold advisors, brokers, and brokerage firms accountable when they fail to meet their duties under the law. All too often, that failure causes individual investors to suffer significant monetary losses.
Investing is inherently risky. Often it pays off, but sometimes it doesn’t. Regardless, brokerage firms and the advisors they employ must abide by the law. That means both federal laws pertaining to securities and the rules and regulations of the Financial Industry Regulatory Authority (FINRA).
If you’re here because you’ve seen substantial losses investment in your investment accounts, know that you are not alone. Tens of thousands of investors in the US file complaints against their financial advisors and brokerage firms every year.
If you’ve experienced significant losses investing you’d be wise to speak with a lawyer who specializes in these cases. At Sonn Law Group our investment fraud attorneys provide free consultations, with no obligations or fees. You’ve got nothing to lose and much to gain by having a qualified lawyer review the details of your investment portfolio and losses.
6 of the Best Investment Fraud Attorneys and Law Firms
Below you’ll find a curated list of 6 of the most well-respected and successful investment fraud lawyers and law firms in the county. If you’re an investor who’s suffered big losses, you’d be well served consulting with any of these folks.
1. Jeffrey Sonn, Sonn Law Group
Sonn Law Group is led by founding attorney Jeff Sonn. Jeff has practiced securities law since 1988, has represented thousands of clients, and is nationally known as an authority in the area of investment loss recovery.
Attorney Sonn began his career in securities law back in 1988. Over the course of his nearly 35-year career, Jeff has litigated hundreds of cases involving all manner of securities law, recovering hundreds of millions of dollars for defrauded investors.
Jeff has regularly appeared as an expert on investment fraud and Ponzi scheme cases for CNBC, The CBS Sunday Morning Show, BBC Radio, ABC and MSNBC.
Jeff was the CNBC contributing expert on the Bernard Madoff Ponzi Scheme for the CNBC shows “On the Money”, “Scam of the Century, Bernie Madoff and the $50 Billion Dollar Heist” and “American Greed.”
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2. Shepherd Smith Edwards & Kantas LLP
Shepherd Smith Edwards & Kantas LLP (SSEK Law Firm) is a law firm that focuses on representing investors in financial disputes and securities fraud cases. The firm is based in Houston, Texas and has offices in New York and California. SSEK Law Firm was founded in 1991 by attorneys Andrew Shepherd and Steve Smith, and has since grown to a team of experienced lawyers and support staff.
The firm’s attorneys have extensive experience in representing investors in arbitration and litigation cases against brokerage firms, investment advisers, and other financial institutions. SSEK Law Firm also represents clients in class action lawsuits and has handled a number of high-profile cases involving securities fraud and other financial misconduct. In addition to its legal services, the firm provides educational resources and information to help investors protect their rights and make informed decisions about their investments.
At Sonn Law Group we have worked with the SSEK Law Firm on many occasions including on a recent case in which we secured a $4M settlement for a client of embattled JP Morgan Broker Edward L. Turley.
3. Adam Nativ, KlaymanToskes
Adam Nativ is an associate at the law firm of KlaymanToskes and concentrates his practice on securities litigation and arbitration. Attorney Nativ is a graduate of Syracuse University and earned his law degree from Shepard Broad Law Center at Nova Southeastern University in 2005 where he received honors in recognition of his pro bono work as an intern with the Seventeenth Judicial Circuit of Florida.
At Sonn Law Group we had the pleasure of working with Mr. Nativ on a case involving our client – a former NBA player – who suffered significant investment losses because of unsuitable and risky investments in promissory notes.
Mr. Nativ has represented institutional and individual clients in all phases of securities and commercial litigation. Mr. Nativ has also been featured in the following national publications regarding investor fraud: Forbes, Reuters, and Westlaw.
4. Peiffer Wolf
Peiffer Wolf Carr & Kane, commonly known as Peiffer Wolf, is a law firm that represents clients in a variety of legal matters, including securities fraud, consumer fraud, shareholder rights, and antitrust litigation. The firm is headquartered in St. Louis, Missouri, and has additional offices in New York and California. Peiffer Wolf’s attorneys have experience in representing clients in state and federal courts, as well as in arbitration proceedings.
The firm also handles class action lawsuits and has been involved in a number of high-profile cases involving financial misconduct and other types of fraud. In addition to its legal services, Peiffer Wolf provides educational resources and information to help consumers and investors protect their rights and make informed decisions about their legal options.
Sonn Law Group is currently working alongside the securities fraud attorneys at Peiffer Wolf in the investor class action lawsuit against YieldStreet Inc.
5. Adam Moskowitz, The Moskowitz Law Firm
According to his website bio: Attorney Adam M. Moskowitz of The Moskowitz Law Firm is a distinguished trial lawyer who has received national recognition for his courtroom successes, large settlement negotiations, and delivering justice to class action plaintiffs throughout the country. He concentrates his practice on class action matters and complex commercial litigation.
At Sonn Law Group we have worked with attorney Adam Moskowitz on several occasions. Most recently we worked with him on the EquiAlt Ponzi Scheme Class Action lawsuit.
6. Gana Weinstein LLP
Gana Weinstein LLP is a law firm that represents clients in financial disputes and securities fraud cases. The firm is based in New York City and has a team of experienced attorneys who have a track record of success in representing clients in arbitration and litigation cases against brokerage firms, investment advisers, and other financial institutions.
Gana Weinstein LLP also handles class action lawsuits and has been involved in a number of high-profile cases involving securities fraud and other financial misconduct. In addition to its legal services, the firm provides educational resources and information to help investors protect their rights and make informed decisions about their investments.
At Sonn Law Group we have worked with attorney Adam Gana of Gana Weinstein LLP on numerous occasions including on the class action case involving Morgan Keegan Closed-End Funds.
So there you have it – 6 of the finest investment fraud lawyers and law firms in the United States. If you have any questions or comments about this list, or about a potential securities fraud matter, contact Sonn Law Group anytime to schedule a consultation with an attorney.