Investment Loss Recovery Attorneys

Investment Loss Recovery Attorneys

Nationwide representation for investors harmed by broker misconduct, securities fraud, unsuitable investments, Ponzi schemes, and other financial misconduct.

Securities Fraud Lawyers | Investment Loss Recovery | Sonn Law Group2026-06-12T11:28:10-04:00

DECEIVED BY A FINANCIAL ADVISOR?

Take back control. Your recovery starts here.

PROTECTING INVESTOR RIGHTS NATIONWIDE

Representing victims of investment fraud, broker negligence, and advisor misconduct nationwide.

INVESTMENT LOSS RECOVERY

Strategic representation for investors seeking recovery from financial misconduct.

Sonn Law Group represents investors nationwide in FINRA arbitration, securities litigation, and complex investment recovery matters.

SECURITIES CLASS ACTIONS

Collective legal action designed for meaningful financial recovery.

When widespread misconduct impacts groups of investors, a unified legal strategy can drive powerful results. Sonn Law Group represents clients in complex class actions involving securities fraud, corporate wrongdoing, and large-scale financial harm.

WHISTLEBLOWER REPRESENTATION

Confidential advocacy for individuals reporting financial misconduct and corporate wrongdoing.

Sonn Law Group represents whistleblowers in matters involving securities fraud, tax fraud, corporate misconduct, and other violations impacting investors and the public.

Robert Meyer, Broker with Monmouth Capital Management, Suspended by FINRA Over Alleged Unsuitable Trading

By |October 8th, 2020|Categories: Broker / Advisor Investigations|Tags: , |

Meyer agreed to a three-month suspension and FINRA findings stating [...]

Michael Bell, Broker with Cetera Advisor Networks, Named in Customer Dispute Seeking $237K in Damages

By |October 7th, 2020|Categories: Broker / Advisor Investigations|Tags: , |

Bell is accused of recommending unsuitable investments and over-concentration. The [...]

Alec Franks, Formerly of First Standard Financial, Barred by FINRA Over Failure to Cooperate with Investigation into Alleged Outside Business Activities and Excessive Trading

By |October 6th, 2020|Categories: Broker / Advisor Investigations|Tags: , |

Franks refused to produce information or documents FINRA requested in [...]

Nina Maines, Broker and Investment Adviser with Cadaret, Grant & Co., Suspended by FINRA Following Allegations of Unauthorized Discretionary Trading

By |October 1st, 2020|Categories: Broker / Advisor Investigations|Tags: , |

Maines allegedly exercised discretion in customer accounts without written authorization. [...]

Corbin Lambert, Former CEO of Continuum Financial, Charged by SEC with Conducting Cherry-Picking Scheme

By |October 1st, 2020|Categories: Broker / Advisor Investigations|Tags: , |

The Nebraska advisor is accused of engaging in a cherry-picking [...]

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