M&D Lawyers LLP Offices is dedicated to providing our clients with legal services in Investment Fraud and FINRA Securities Arbitration cases

Our track record speaks for itself. We have successfully prosecuted well over a thousand FINRA arbitration cases and lawsuits on behalf of defrauded investors. The scope of these cases varies widely. Whether you lost money because your financial advisor or broker invested too much of your money in volatile stocks or mutual funds, or you are a victim in a criminal Ponzi scheme, you have legal rights that deserve to be enforced. You also deserve to be compensated for the investment losses you sustained to put you back in the position you were in prior to your financial advisor’s negligent or fraudulent advice.

Stoltmann Law Current Investigations

  • GWG L-Bond Investors Seek to Recover Their Losses From Brokerage Firms That Sold the Bonds
  • Advisors That Sold DeepRoot Funds to Their Clients Could be Liable for Breach of Fiduciary Duty
  • LPL Financial
  • Cell-Phone SIM Jacking
  • Conservation Easements Creating Complicated Tax Issues for Investors
  • GPB Capital Funds Investor Recovery Options
  • GWG L-Bonds
  • Heartland Funds Investigation
  • NorthStar Financial Services (Bermuda) Ltd. Investor Recovery Options
  • SPACs – Special Purpose Acquisition Companies
  • SteadyServ Technologies, Inc. Investigation

Chicago Investment Fraud Attorneys Offering Nationwide Representation To Investors

If you have suffered financial losses because of the negligence or fraud of your financial advisor or broker through unsuitable investment recommendations, over-concentration, churning, misrepresenting risks, conversion, or selling away, you have legal rights and options to pursue recovery of those losses.

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