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.

Shocking Details About James Hyre and Raymond James Financial Services Scandal!

Financial malpractice is a serious issue that can have devastating consequences for investors. One such case that underscores the gravity of such allegations involves Financial Advisor (FA) James Hyre of Raymond James Financial Services, Inc. (CRD 6694). The allegation, which is currently pending, was lodged on 9/15/2023 and is identified under case number 2429707. The […]

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James Seijas Accused in Ponzi Scheme: Haselkorn & Thibaut Investigates

Investors are often at the mercy of their financial advisors, trusting them to make wise decisions with their hard-earned money. However, allegations of misconduct can shatter this trust, leaving investors scrambling to recover their losses. One such case is currently under investigation by Haselkorn & Thibaut, a national investment fraud law firm with a track

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Unravel the Scandal Surrounding Zvi Rosenzweig and MML Investors Services, LLC

The seriousness of allegations against financial advisors should never be underestimated. The case in question involves a customer dispute lodged on 9/18/2023, alleging that the registered representative, Zvi Rosenzweig, of MML Investors Services, LLC, advised the complainant to partially redeem his variable annuity to fund a whole life policy. The complainant asserts that this advice

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Carl Gill and United Planners Face Unsuitable Investment Probe

Investment fraud is a serious issue that can lead to significant financial losses for investors. One such case is currently under investigation involving a financial advisor, Carl Gill, previously associated with United Planners’ Financial Services of America A Limited Partner. The case is related to an alleged unsuitable investment of $35,000, and the dispute is

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Pierre Economacos Faces SEC Allegations – What This Means for Your Investments

On September 18, 2023, the Securities and Exchange Commission (“Commission”) instituted cease-and-desist proceedings against Pierre Economacos, a registered representative at a registered broker-dealer (the “Firm”). The seriousness of this allegation arises from Economacos’s failure to report suspicious and unusual transactions in a brokerage account of his long-time customer (the “Customer”). These transactions surrounded the announcement

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