M&D Lawyers LLP has successfully litigated against numerous investment firms

At M&D Lawyers LLP, we have extensive experience litigating against investment firms that have engaged in misconduct and harmed their clients. Our dedicated team of attorneys has successfully represented clients who have suffered losses due to fraudulent practices, unsuitable investment recommendations, misrepresentation, and other unethical behaviors by investment firms.

  • American Financial Services
  • LPL Investment Holdings
  • LPL Financial
  • Uvest
  • Raymond James Financial Services
  • Zachs
  • FSC Securities Corp.
  • Royal Alliance
  • SagePoint Financial
  • Commonwealth Financial Network
  • Centerra Financial Group
  • Financial Network Investment Corp
  • Multi-Financial Securities Corp
  • PrimeVest Financial Services Inc.
  • Cambridge Investment Research
  • Park Avenue Securities
  • Securities Service Network
  • Princor Financial Services
  • NYLife Securities
  • Woodbury Financial Services
  • Cadaret Grant & Co
  • United Planners Financial Services
  • Ameritas Investment Corp
  • Sigma Investment Corp
  • QA3 Investment Corp
  • ProEquities Inc
  • American Portfolios Financial
  • Investors Capital Corp
  • Capital Financial Group
  • Equity Services

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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