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.

UBS Advisor Lands $1mm Investor Complaint

Veritas Advisor Edward Barfield Accused of $292K Misconduct

Financial advisor Edward Barfield finds himself in turbulent waters as a string of eyebrow-raising accusations have emerged against him. Providing financial wisdom based in Kirkwood, Missouri, Barfield represents Geneos Wealth Management. But did this experienced professional make unwise and inappropriate recommendations, thus landing him in a predicament? The Issue at Hand Barfield, an advisor with […]

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Sue Financial Advisor, Investment Fraud Lawyers

Unraveling The Mystery: Shocking Investigation Into Steven Gessner And Cambridge Investment Research!

In the world of investment, it’s not uncommon for disputes to arise between investors and brokers or financial advisors. Such allegations often revolve around products being too risky or unsuitable for the client’s investment objectives. However, these allegations can sometimes be misleading, and it’s essential to understand why they may not always be accurate. Steven

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UBS Advisor Lands $1mm Investor Complaint

Scott Norvell (TR Financial Advisor) Faces FINRA Action

Omaha-based financial advisor Scott Norvell currently faces recommended disciplinary action. The Financial Industry Regulatory Authority’s (FINRA) records indicate that he operates as a broker with Brokers International Financial Services and as an investment advisor with Brokers Financial under the familiar name of TR Financial. About Scott Norvell’s FINRA Investigation Mr. Norvell’s activities were subject to

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