Stockbroker Malpractice and Financial Loss

Stephen Meyer runs the stockbroker practice at the firm, which is good news for our clients and unwelcome news for financial advisors, stockbrokers and other individuals who either fraudulently or negligently handle someone's money.  The firm's securities law practice focuses on representing retired persons or other vulnerable investors who suffer losses of their "nest eggs' or significant investments  due to the negligence or breach  of trust  by financial advisors.