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Securities Litigation Practice
The Securities Litigation Practice of Crary Buchanan represents investors and financial advisors in investment loss disputes. Our experienced attorneys handle securities cases involving:
- Churning or excessive trading claims;
- Misrepresentation of investment products, services, or fees;
- Negligent advice as to the purchase or sale of an investment;
- Unsuitable investment recommendations;
- Unauthorized transactions;
- U-4 and U-5 defamation and wrongful termination claims
Our Florida law firm can handle any size investment loss claim with thorough, efficient, and effective legal representation. Crary Buchanan attorneys accept cases on an hourly or alternative fee arrangement. Under the right circumstances, our attorneys will accept cases on a contingent-fee basis by which Crary Buchanan receives no fee unless we are successful in obtaining a recovery for the client.
At Crary Buchanan, our securities law attorneys handle cases involving financial products such as:
- Annuities
- Bonds
- Commodities
- Exchange Traded Funds (ETFs)
- Mutual Funds
- Options
- Structured Products
- Stocks
In reviewing potential cases, our securities litigation attorneys interview the client to hear the client’s perspective and history of the matter; review the trading activity in the investment accounts; and gather data and information from public sources. The client and the law firm share an interest in pursuing only cases that have merit and that make economic sense.
Crary Buchanan has working relationships with recognized expert witnesses in the securities industry. Our law firm is dedicated to providing exceptional legal services and value to our clients -- whether the case is settled directly, in mediation, or is resolved in court or an arbitration hearing. Crary Buchanan attorneys pride themselves on their many years of successful litigation experience.
W. Scott Turnbull
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