Pursuing Justice When There Is A Breach Of Fiduciary Responsibility
Stockholders place not only money in the hands of investment professionals; they also give their trust. Unfortunately, not all stockbrokers take their responsibilities seriously and act recklessly or with selfish interests. These unscrupulous actions cause investors to lose money and to lose faith in the securities industry.
Experienced Securities Attorneys For Victims Of Stock Fraud
The experienced attorneys at Bachner & Associates, PC, can help you hold your investment professional accountable for wrongdoing. From our offices in the heart of New York City’s financial district, we are proud to serve New Yorkers from all boroughs. Call 877-388-6461 or email us to learn more.
Representing Investors In Breach Of Fiduciary Duty Cases
Securities is a highly-regulated field, and securities professionals are required to serve their clients interests with integrity and good faith. Their job is to keep clients informed about changes in the market and about any transactions performed on their behalf. Unfortunately, some brokers do not meet their professional obligations.
Fortunately, our legal system assumes that investment professionals have certain duties and obligations toward their investors, and offers defrauded investors options for taking legal action in cases of negligence or malpractice.
Bachner & Associates, PC, Offers Experience And Insider’s Knowledge
Having served as in-house counsel for a New York Stock Exchange-member brokerage firm, Michael Bachner is fully versed in securities regulations. If you believe your stockbroker has engaged in unauthorized trading, churning or other stock fraud schemes causing you to lose money, we may be able to help.
Since 1988, our attorneys have worked diligently to provide our clients with the representation they deserve and the results they desire. Our history of success clearly indicates that we are doing our job well, and we are intent on keeping that reputation for success.
Contact Our Lawyers To Discuss Your Case
If you believe you are victim of stock fraud or any other type of breach of fiduciary duty, we can help you understand your rights, and tell you what legal remedies are available to you. Call Bachner & Associates, PC at 917-639-5370, toll free at 877-388-6461, or complete our online contact form.