Fraud Losses Attorney Service

Fraud is the ugly side of doing business. Trust breaks down and deliberate deception is at play so that one side or the other can secure their illegal gains.
Investment losses can often be the result of violations guided by a stockbroker, investment company, financial advisor or the creator of the investment product. It is, however, often challenging to demonstrate investment fraud, negligence or wrongdoing by an investment advisor, company or the like. Not to mention the fact that investment companies have what seems like limitless access to funds available to protect their interests. Those promoting an investment product are obligated to divulge all facts pertaining to the product, failure to do so can lead to securities or investment fraud. Financial advisors are also obligated to disclose all pertinent facts, as providing incorrect or faulty advice via negligence opens the door to claim financial advisor or stockbroker malpractice. If you find yourself sustaining investment losses or financial fraud, it’s important that you seek out a professional and experienced lawyer ready to represent you
The legal team at Robert Aronov & Associates, PC is proficient in managing all forms of litigation involving the recommendation or sale of investment products such as:
  • Breach of duty to fully disclose all material facts by which the investment professional fails to completely disclose any or all of the risks associated with the investment or any other pertinent facts pertaining to the investment.
  • Breach of duty to conduct due diligence on an investment through which the investment professional sold an investment product but failed to properly research the investment or those involved in the investment or the company.
  • A breach of fiduciary duty whereby the investment professional has placed their interests above that of the clients – essentially, investment products sales and recommendations must be in the interest of the client, not the investment professional.
Whatever your investment experience may be, whether extensive or limited, you are not protected from losing your invested funds to deceit and corruption. It is important to know that although not all the investment losses will be recovered, those resulting from unethical manipulation by an investment professional – whether stockbroker, advisor, insurance agent and the like – can often be recovered with the assistance and professional guidance of an experienced attorney. The legal team at Robert Aronov & Associates, PC have the experience and know how to get yours through the legal proceedings.

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    Manhattan Office:

    315 Madison Avenue
    New York, NY 10017

    Manhattan Office #2:

    Manhattan Office #2:
    New York, NY 10019

    Queens Office:

    88-02 136 Street
    Jamaica, NY 11418

    Queens Office #2:

    118-35 Queens Boulevard
    Forest Hills, NY 11375

    Westchester Office:

    75 South Broadway
    White Plains, NY 10601

    Westchester Office#2:

    520 White Plains Rd
    Tarrytown, NY 10591

    Staten Island Office:

    60 Bay St
    Staten Island, NY 10301

    Bronx Office:

    1200 Waters Pl #105
    Bronx, NY 10461

    Long Island Office:

    1225 Franklin Avenue,
    Garden City, NY 11530

    Long Island Office#2:

    1979 Marcus Ave
    North New Hyde Park, NY 11042

    Brooklyn Office:

    1172 Coney Island Ave
    Brooklyn, NY 11230

    Brooklyn Office #2:

    101 Ave U
    Brooklyn, NY 11223

    Brooklyn Office #3:

    300 Cadman Plaza W
    Brooklyn, NY 11201