New Jersey Securities Fraud Defense Lawyers
Bachner & Associates, P.C. represents stockbrokers, CEOs and others who have been charged with committing securities violations. Our lawyers will mount a strong criminal defense against claims of securities fraud, working hard to protect your rights and your reputation.
Allegations of securities fraud generally involve accusations of a breach of fiduciary duty in the broker-client relationship. Our firm understands the complexities of these relationships and the possibility for false allegations of fraud to arise from even the most innocent of activities. We represent clients facing white collar crimes associated with a variety of stock-related issues including:
- Sarbanes-Oxley violations
- Stock fraud
- Securities fraud
- Insider trading
- "Pump and dump" schemes
- Investment fraud
- Churning funds
- Fraudulent press releases
At Bachner & Associates, our lawyers have in-depth experience on both the prosecutorial and defense sides of stockbroker fraud. We understand the various issues that people in the financial and investment industries may encounter. Attorney Bachner will also represent brokers and brokerage firms in securities arbitration proceedings before the New York Stock Exchange (NYSE), where the majority of securities disputes are resolved.
Contact Bachner & Associates
For more than 20 years, Bachner & Associates has represented high-profile clients in a professional and confidential manner. We can stand up for your rights and your reputation. Contact Bachner & Associates to learn how we can help you. Call us at 917-639-5370 or toll-free at 877-388-6461 to arrange your consultation.