Investment Fraud Lawyers

Haselkorn and Thibaut, InvestmentFraudLawyers.com, specialize in fighting for investors nationwide and have offices in Florida, New York, North Carolina, Arizona, and Texas. We have over 50 years of experience and a 98% success rate.   Call us now for a free consultation at 1-800-856-3352 or email us at [email protected] No Recovery, no fee.

Shocking Ponzi Scheme Revelation Involving John Woods at Oppenheimer & Co. Inc.

The world of finance can be a tumultuous landscape, with investors often finding themselves on shaky ground due to fraudulent activities. A case in point is the recent allegation leveled against John Woods and Michael Mooney, who stand accused of orchestrating a Ponzi Scheme from 2008 to 2021. The plaintiffs further allege that Gordon Morse […]

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Discover How Andrew Pandis From Cetera Investment Services Faces Serious Allegations

Investors are often faced with multiple challenges, and one of the most alarming is a breach of contract allegation against their investment advisor. This article delves into the seriousness of such allegations, using a recent case involving Andrew Pandis, a broker and investment advisor currently affiliated with CETERA INVESTMENT SERVICES LLC, as an example. The

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Serious Allegation Hits Thomas Swan from Western International Securities, Inc.

Investors need to be aware of a serious allegation against Thomas Swan, a representative of WESTERN INTERNATIONAL SECURITIES, INC. The case, which is currently pending, was filed on 8/28/2023. The customer dispute alleges that Swan misrepresented the features of a financial product sold in 2020, causing a loss of $50,000 to the investor. This incident

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Jesus Rodriguez’s Forgery Scandal Shakes Morgan Stanley – Here’s What You Need To Know

Investors are often faced with a complex landscape of financial and legal matters that can be difficult to navigate. One such case involves allegations of forgery and misappropriation of funds from a client’s account. The seriousness of these allegations and their potential implications for investors cannot be overstated. This article aims to break down the

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John Egan’s Shocking Misconduct at Western International Securities Revealed

Allegations of financial misconduct are a serious matter, particularly when they involve misrepresentation of investment products. Such allegations can have significant implications for investors, influencing their trust in their financial advisors and their overall investment outcomes. In this context, the case of John Egan, a representative of Western International Securities, Inc., is worth examining. The

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