Investment Fraud Lawyers

Investment Fraud Lawyers is led by founding partners Jason S. Haselkorn (FL Bar No. 52140) and Matthew R. Thibaut (FL Bar No. 514918) of Haselkorn & Thibaut, P.A. Former Wall Street defense attorneys and previously licensed securities brokers, they now represent individual investors nationwide in FINRA arbitration and securities litigation. The firm focuses on investment fraud and securities cases involving broker misconduct, unsuitable recommendations, and fraudulent schemes, with an approximately 98% success rate across hundreds of matters and more than 95 years of combined securities law experience. From offices in Florida, New York, Arizona, Texas, and North Carolina, the firm typically handles investor cases on a contingency‑fee basis — there is no attorney’s fee unless a financial recovery is obtained.

John Stapleton from Spartan Capital Securities Faces Serious Allegations

Allegations of financial misconduct are serious matters that can significantly impact investors. One such case that is currently under investigation involves John Stapleton, a broker with SPARTAN CAPITAL SECURITIES, LLC. The allegation, filed on 8/24/2023, is pending and involves charges of negligence, unsuitability, and failure to supervise, with a claimed loss of $84,688.00. The case […]

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Unmasking Debbie Cavanaugh: Centaurus Financial Under SE C Lens for Investor Violations

The U.S. Securities and Exchange Commission (SEC) has recently raised a serious allegation against Debbie Cavanaugh, a registered representative of Centaurus Financial, Inc. The allegation, currently pending, was made on 8/24/2023. It centers on a potential violation of Rule 151-1(a) of the Securities Exchange Act of 1934, otherwise known as Regulation Best Interest. Specifically, the

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Understanding the FINRA Broker-Dealer Registration Process for Finra Broker Dealer Firms

Understanding how to register with the Financial Industry Regulatory Authority (FINRA) is key for broker-dealer firms. FINRA makes sure that all firms and individuals who want to do business involving securities with the public follow the rules. Broker-dealer firms across America, including various LLCs and Inc., are subject to FINRA’s regulations. These firms have a

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Joseph Jackson and Capital Investment Group, Inc. Complaints

Investors are often faced with complex challenges and uncertainties, especially when it comes to allegations of malpractice by financial advisors. A recent case involving Joseph Jackson from CAPITAL INVESTMENT GROUP, INC. (CRD 14752) is a pertinent example. The allegation is currently pending and is related to a customer dispute involving GWG Holdings, which filed Chapter

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Dramatic Allegations Against Michael Hamilton of Centaurus Financial – Should Investors Worry?

The seriousness of an allegation against a registered representative can have far-reaching implications, especially for investors. Recently, the U.S. Securities and Exchange Commission (SEC) has alleged that Michael Hamilton, a broker and investment advisor currently associated with Centaurus Financial, Inc. (CRD 30833), may have violated Rule 151-1(a) of the Securities Exchange Act of 1934, known

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