
Hunsucker Goodstein & Nelson PC has depth of experience in the practice of securities brokerage arbitration and litigation. We represent investors in a variety of disputes related to losses sustained in their brokerage accounts as a result of wrongdoing and fraud by their stockbrokers, brokerage firms, and investment advisers. These cases range from such issues as misrepresentation and suitability to unauthorized trading.
Our attorneys successfully use their prior experience defending major national brokerage firms to benefit securities customers who have fallen victim to improper and illegal sales practices. Aided by their decades of practice and their knowledge of the major brokerage firms, our attorneys have obtained millions of dollars in arbitration awards and settlements for their clients from some of the largest national brokerage houses.
These securities-related disputes are almost always required to be resolved in binding arbitration by FINRA (Financial Industry Regulatory Authority), the self-regulatory organization for the securities industry. Our experienced securities arbitration and litigation lawyers know how to be successful in these proceedings and have an excellent track record of awards for clients.
Hunsucker Goodstein & Nelson PC has successfully represented victims of fiduciary abuse, financial elder abuse, stock churning or mutual fund switching. This experience has prepared us well to meet the challenges of subprime litigation.
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