Common Securities and Investment Fraud Claims.
Securities and investment fraud misconduct comes in various forms. The most common involve the following unethical, illegal or fraudulent securities practices including: unsuitable investments, breach of fiduciary duty, lack of diversification, fraud or misrepresentation, unauthorized trading, churning (excessive trading), selling away, and failure to supervise.
Typically, the first sign of securities and investment misconduct is a decline in the value of a client's account. However, not all securities and investment fraud results in a loss, and not all losses denote securities and investment misconduct.
The attorneys at Lufrano Law, LLC are experienced in bringing many types of securities and investment fraud claims on behalf of investors and can examine your situation to determine if you have been a victim of securities and investment fraud.
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