Recovering Investors’ Losses Through Experienced and Aggressive Legal Representation
- Have you experienced sudden or unexpected investment losses?
- Did your stockbroker or financial advisor fail to explain the risks associated with your investments?
- Have your investments underperformed the overall markets?
- Has your stockbroker or financial advisor pressured you to buy investments that either you did not understand or are uncomfortable with?
If the answer to any of these questions is “yes,” you may be the victim of fraudulent or negligent misconduct and entitled to recover your investment losses. The Wolper Law Firm is dedicated to helping aggrieved investors recover their investment losses from banks, brokerage firms, investment advisors and other financial professionals.
6 Reasons to Choose the Wolper Law Firm
Attention to Detail
Commitment and Care
Passion and Compassion
No Fee Guarantee
WHO WE ARE
The Wolper Law Firm is a client focused law firm devoted to recovering investment losses on behalf of aggrieved investors. We pursue claims nationwide and in all forums, including arbitration before the Financial Industry Regulatory Authority (FINRA), American Arbitration Association (AAA) and JAMS. We also pursue claims in state and federal courts.
When choosing a law firm to represent you in the recovery of investment losses, it is important that you choose an experienced attorney that is willing and capable of taking your case through the trial phase. We take cases to trial, and we prepare each one accordingly from the start. We have the experience, judgment, and vision to develop the arguments that result in favorable outcomes. It is our mission to build a deep and trusting relationship with our clients and become your partners in the process.
For nearly fourteen years, Matt Wolper, the managing principal of the Wolper Law Firm, was a partner with a national law firm, where he represented the largest banks and brokerage firms on Wall Street. This experience and pedigree gives the Wolper Law Firm a competitive advantage.
If you have experienced investment losses, and believe that those losses are as a result of poor investment advice, the Wolper Law Firm invites you to call or visit for a free consultation to tell us your story. In turn, we will provide you with an honest case evaluation and help you determine your best course of action.
Securities Litigation and Arbitration
Investor Education Center
Securities Employment and Industry Disputes
Satisfied Client Stories
Cetera Advisors Financial Advisor, Richard Pittman, Has Three Customer Complaints Alleging Unsuitable Investment RecommendationsRichard L. Pittman is a Financial Advisor at Cetera Advisors LLC in Menphis, TN. Richard Pittman has been in the...Read More
Barred Financial Advisor, Rand Heckler, Has Five Customer Complaints, Alleging Sales Practice ViolationsRand A. Heckler was a Financial Advisor at Benjamin & Jerold Brokerage, LLC in Glen Cove, NY. Rand Hecker has been in...Read More
Barred Financial Advisor, George Merhoff, Has Twenty-Seven Customer Complaints, Including Seven Pending Complaints, Alleging Sales Practice ViolationsGeorge C. Merhoff, Jr. was a Financial Advisor at Cetera Advisors LLC and Pacific West Securities, Inc. in Klamath Falls, OR,...Read More
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