The Levin Law Group, P.C. seeks to create a level playing field for investor clients. We represent investors—both individually and as a class—who have sustained losses as a result of failures on the part of brokerage firms and individual brokers. Whether a claim is before a mediator, arbitrator, federal judge or state judge or government regulator, we serve our clients by negotiating the complex, specialized legal and factual standards applicable to securities cases. We aggressively work to obtain the information necessary to effectively prosecute a securities claim.
We work with clients to resolve disputes involving misrepresentation, unauthorized transactions, unsuitability, improper annuities, excessive trading (i.e. churning), account irregularities, improper trading practices, execution failures and various other forms of securities fraud. If your savings or retirement funds have been the subject of mismanagement or financial abuse on the part of an investment professional, we are ready to proceed, commonly on a contingent fee basis, in your behalf.