No fee,
no obligation, just an opportunity for you
to sit down with nationally recognized securities
professionals who will tell you the truth about
the likelihood of your winning in securities arbitration.
And, if
we think we can help you, we have several
recovery options available, including a no recovery,
no fee option.
Contacting us may
well be the
smartest investment move you
ever made. |
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Law Offices of Timothy
A Canning
Securities Arbitration, Litigation & Appeals
Representing Investors
in Securities Disputes with Stock brokers,
Financial planners, & Investment advisors -Nationwide
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• Unsuitable Investments
• Churning
• Unauthorized Trading
• Breach of Fiduciary Duty
• Fraud/Misrepresentation
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Investors: Did You Lose Money With a
Stockbroker, Financial
Planner or Investment Advisor?
Need to know if you are being treated fairly?
10 warning signs that you may have
a problem with your
stockbroker, financial planner or investment advisor:
- You lose more money than you thought you were risking
- Investment losses curtail your retirement or lifestyle
- Your financial advisor won’t return
your calls
- Your broker is good at telling you what to buy,
but not what to sell
- You are losing money in an IRA or retirement account
- Your broker has more excuses than ideas
- Your broker suggests an annuity for your IRA account
- “Risk” is never part of the conversation
- Your broker says its “safe”, but your
gut says different
- Your investment professional loses your
lifetime of savings
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NASD • NYSE • Pacific
Exchange • SEC • CFTC • FINRA |
Contact
Us for a Free, No Obligation Consultation!
707-822-1620 or info@tclaws.com
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