Erez Law, PLLC

At Erez Law, PLLC, we help our clients fight dishonest brokers. Whether your case involves junk bonds, Ponzi schemes, or bad oil and gas investments; our attorneys have the experience and resources needed to provide you

Erez Law is dedicated to providing the highest quality legal representation to investors seeking to recover investment losses from brokerage firms and financial advisors. Our firm is singularly committed to representing investors across the United States and internationally in FINRA arbitrations, AAA arbitrations, JAMS arbitrations and in both state and federal courts. Erez Law has the experience and resources to obtain justice for its clients even against the largest and best funded brokerage firms and law firms in the country.

Erez Law understands that investors have worked for years and often decades saving for retirement, children’s education, to support family members, to accumulate wealth, to create a sense of financial security or to leave behind a legacy. Dishonest brokerage firms and brokers can dash those aspirations with just a few bad recommendations or actions. Investors that sustained investment losses may be the victims of brokerage firms and financial advisors that are incompetent or acted intentionally to mislead their customers. Whether by negligence or fraud, brokerage firms and financial advisors that have failed to follow industry standards and applicable rules and laws may be responsible for their customer’s losses. Erez Law specializes in representing investors in cases to recover investment losses when caused by wrongful conduct. Erez Law represents individual investors, retirees, trusts, pension plans, partnerships, family partnerships, and ultra high net worth individuals.

Erez Law has successfully represented investors in claims against the following brokerage firms:
Merrill Lynch, Pierce, Fenner & Smith, Inc.
UBS Financial Services Inc.
UBS Financial Services Inc. of Puerto Rico
Morgan Stanley & Co. LLC
Morgan Stanley Smith Barney LLC
Oppenheimer & Co. Inc.
Popular Securities, LLC
Santander Securities, LLC
Oriental Financial Services Corp.
Raymond James Financial, Inc.
RBC Capital Markets, LLC
Wells Fargo Advisors Financial Network, LLC
LPL Financial LLC
Securities America, Inc.
Transamerica Financial Advisors, Inc.
NFP Securities, Inc.
Citigroup Global Markets Inc.
Cetera Advisors LLC
Cetera Advisor Network LLC
Cetera Investment Services LLC
Janney Montgomery Scott LLC
These are some of the largest national and regional brokerage firms in the US. However, there are over 6,000 brokerage firms operating in the US and Erez Law has the resources, experience and expertise to achieve successful outcomes against them on behalf of investors.

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investment fraud lawyer


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