Haselkorn & Thibaut, P.A., operating as Investment Fraud Lawyers, represents investors who have suffered losses due to broker misconduct, unsuitable investments, negligence, and fraud at brokerage firms nationwide. Our 95+ years of combined experience and 98% success rate enable us to identify patterns of misconduct and recover losses for our clients.
We have been involved in over $520 million in securities cases. Our firm is recognized as a Super Lawyers 100 firm. Call 1-888-885-7162 for a free case review.
Brokerage Firms We Investigate (110 Firms)
Major Wirehouses
- Merrill Lynch
- Morgan Stanley
- JP Morgan Chase
- Wells Fargo Advisors
- Wells Fargo Securities
- Goldman Sachs
- Citigroup Global Markets
- Charles Schwab
- TD Ameritrade
- RBC Wealth Management
- RBC Capital Markets
- Deutsche Bank Securities
- Interactive Brokers
Large Independent BDs
- LPL Financial
- Ameriprise Financial
- Edward Jones
- Raymond James
- Commonwealth Financial Network
- AXA Advisors
- Equitable Advisors
- Cetera Advisor Networks
- Cambridge Investment Research
- Securities America
- Janney Montgomery Scott
- Stifel Nicolaus
- Robert W. Baird
- Waddell & Reed
- Ladenburg Thalmann
- First Allied Securities
- FSC Securities Corp
- SagePoint Financial
- Royal Alliance Associates
- VSR Financial Services
- Kovack Securities
- Calton Associates
- Centaurus Financial
- National Planning Corporation
- D.A. Davidson
Insurance-Affiliated BDs
- MetLife Securities
- MML Investors Services
- Primerica PFS Investments
- Transamerica Financial Advisors
- John Hancock Financial Network
- NYLIFE Securities
- Northwestern Mutual
- Voya Financial Advisors
- Genworth Financial
- Lincoln Financial Advisors
- Lincoln Investment Planning
- Securian Financial Services
- CUNA Brokerage Services
- CUSO Financial Services
- Farmers Financial Solutions
- Equity Services Inc
Robo-Advisors & Fintech
Smaller/Regional BDs
- AIG SunAmerica
- Albion Financial Group
- Ally Invest
- Ameritas Investment Corp
- Arete Wealth Management
- Arkadios Capital
- Ausdal Financial Partners
- Avantax Investment Services
- BlackRock Investments
- Capital Analysts
- Capital Financial Group
- Cerity Partners
- CFD Investments
- Fisher Investments
- GBP Capital
- Geneos Wealth Management
- Heritage Investment Group
- H&R Block Financial Advisors
- Kestra Investment Services
- LaSalle St. Securities
- Laidlaw Company
- Lion Street Financial
- M Securities Investment
- Moors & Cabot
- Nationwide Planning Associates
- Next Financial Group
- NFP Advisor Services
- Oppenheimer & Co.
- Origin Financial
- Packerland Brokerage Services
- Park Avenue Securities
- Parkland Securities
- Piper Jaffray
- Plante Moran Financial Advisors
- PrimeVest Financial Services
- Principal Securities
- Princor Financial Services
- ProEquities Inc
- Prospera Financial Investments
- Sigma Financial Corporation
- Southwest Securities
- Spartan Capital Securities
- Sterne Agee Financial Services
- The Burish Group
- The Leaders Group
- The O.N. Equity Sales Company
- Triad Advisors
- U.S. Bancorp Investments
- United Planners Financial Services
- Wedbush Securities
- Woodbury Financial Services
Why choose Investment Fraud Lawyers?
- 98% success rate in securities arbitration and litigation
- 95+ years of combined legal experience
- $520M+ in securities case volume handled
- Super Lawyers 100 recognition
- Former Wall Street defense attorneys with insider knowledge of broker-dealer operations
- No recovery, no fee contingency representation
Contact us
Phone: 1-888-885-7162
Email: case@htattorneys.com
Offices: Juno Beach, Florida | Phoenix, Arizona | New York, New York | Cary, North Carolina | Houston, Texas
Disclaimer: The information on this page is for educational and investigational purposes. It does not constitute legal advice. Past results do not guarantee future outcomes.
