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Michigan Securities Fraud Attorney

Securities Litigation and Dispute Resolution

Sommers Schwartz represents individuals and businesses who have been victims of securities fraud as well as brokers, investment advisors, and companies who have been accused of securities fraud. When pursuing a securities fraud or misconduct case, it is important to retain legal counsel with extensive experience in securities exchange litigation. We have represented clients in cases involving churning, insider trading, margin violations, illegal trading, stock market manipulations, and breaches of fiduciary duty. You may be protecting your rights against a large, powerful Wall Street firm, or you may be investigated by the New York Stock Exchange (NYSE), the Financial Industry Regulatory Authority (FINRA), or the Securities and Exchange Commission (SEC). One of our proficient Michigan business attorney can provide you with skilled legal counsel and aggressive defense.

The role of Wall Street traders, bankers, and investors is changing as individuals become more informed of their rights and of the risks associated with trusting a financial advisor. Much press attention has been given to white collar criminals and the victims of Ponzi schemes and business fraud. Whether you have been defrauded by an investor or whether you are a professional who is under investigation for misconduct or fraud, it is crucial that you discuss your options with an experienced Michigan securities litigation attorney at our office as soon as possible.

Our firm has successfully represented numerous individuals and firms with cases pertaining to securities litigation. We have litigated in both state and federal courts and have represented those faced with arbitration before the regulatory commissions at the FINRA, NYSE, and SEC. Our attorneys excel in identifying the rights of our clients and aggressively pursuing these rights in trial. Business litigation is sophisticated, complex, and has high risks for the defendants and plaintiffs.

Contact a Michigan securities fraud attorney at our firm if you have been involved in or have been accused of securities fraud.

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The information on this website is for general information purposes only. Nothing on this site should be taken as legal advice for any individual case or situation. This information on this website is not intended to create, and receipt or viewing of this information does not constitute, an attorney-client relationship.
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Address: 2000 Town Center, Suite 900 Southfield, MI 48075 Phone: (800) 967-1234