Investment Fraud Lawyers

Haselkorn & Thibaut, P.A. (InvestmentFraudLawyers.com) is a national investor advocacy law firm focused on securities arbitration and investment fraud recovery. Partners Jason S. Haselkorn (FL Bar No. 52140) and Matthew R. Thibaut (FL Bar No. 514918) lead a team with 50+ years of combined experience and a 95%+ success rate for investors nationwide. We handle unsuitable investments, broker misconduct, and alternative investment losses before FINRA, AAA, and JAMS, with offices in Florida, New York, Arizona, and Texas. Experience: 50+ years combined Focus: Investment fraud, broker negligence, unsuitable/alternative investments Service: No recovery, no fee Free consultation: Call: 1-888-885-7162 Email: case@htattorneys.com Web: InvestmentFraudLawyers.com

Financial Advisor Lost My Money

Investigation Opens into NJ Advisor Matt Sottile Following Bravias Financial Client Complaint

Haselkorn & Thibaut has opened an investigation into Iselin, New Jersey financial advisor Matt Sottile (CRD# 4774814) following a recent investor complaint alleging unsuitable investment recommendations that resulted in losses. The national investment fraud law firm, with over 50 years of experience and a 98% success rate, is examining the circumstances surrounding Mr. Sottile’s advisory […]

Investigation Opens into NJ Advisor Matt Sottile Following Bravias Financial Client Complaint Read More »

Randy Birkinbine of Ausdal Financial Partners Faces $500K GWG L Bond Misconduct Allegations in Minnesota

Randy Birkinbine, a broker and investment advisor with Ausdal Financial Partners, Inc. (CRD 7995) in Minnesota, is facing serious allegations of misconduct related to the sale of GWG L Bonds. The pending customer dispute, filed on January 19, 2024, accuses Birkinbine of suitability issues, breach of fiduciary duty, negligence, and violation of Regulation Best Interest

Randy Birkinbine of Ausdal Financial Partners Faces $500K GWG L Bond Misconduct Allegations in Minnesota Read More »

Max Birkinbine of Ausdal Financial Partners Faces $500,000 GWG L Bonds Suit Over Investment Practices

Max Birkinbine, a broker and investment advisor associated with Ausdal Financial Partners, Inc. (CRD 7995) in Minnesota, is facing allegations of unsuitable investment recommendations, breach of fiduciary duty, negligence, and violation of Regulation Best Interest (Reg BI). The customer dispute, filed on January 19, 2024, and currently pending, involves investments in GWG L Bonds and

Max Birkinbine of Ausdal Financial Partners Faces $500,000 GWG L Bonds Suit Over Investment Practices Read More »

Eric Long of LPL Financial Faces Fee Disclosure Allegations Over Pennsylvania 401k Account Dispute

Eric Long, a broker and investment advisor with LPL Financial LLC (CRD 6413) in Pennsylvania, is currently facing allegations of failing to disclose fees associated with servicing a client’s 401k account. The customer dispute, filed on January 19, 2024, remains pending as of the latest information available on Long’s FINRA BrokerCheck (CRD #4809903). According to

Eric Long of LPL Financial Faces Fee Disclosure Allegations Over Pennsylvania 401k Account Dispute Read More »

Jeffrey Smaka Of J.P. Morgan Securities LLC Investigated For Variable Annuity Misrepresentation Allegations

Jeffrey Smaka, a broker and investment advisor associated with J.P. Morgan Securities LLC, is facing allegations of misrepresentation regarding a variable annuity investment. The customer dispute, which was denied, claims that Smaka engaged in misconduct between November 9, 2020, and November 9, 2020. Haselkorn & Thibaut, a national investment fraud law firm, is currently investigating

Jeffrey Smaka Of J.P. Morgan Securities LLC Investigated For Variable Annuity Misrepresentation Allegations Read More »

Scroll to Top