California Securities Fraud Attorney Call Today 800-699-1881
California Securities Fraud Lawyer Firm Overview Attorney Profiles Recoveries Obtained Frequently Asked Questions Testimonials Contact Us
information center
Broker Misrepresentation
Brokerage Firms Sued
Structured Products
Hedge Fund Losses
Recognizing Investment Losses
Recovery of Investment Loss
Securities Arbitration
Reverse Convertible
Securities Fraud
Securities Mediation
Securities Litigation
Stock/ Investment Losses
Suitability/ Unsuitability
Unauthorized Trading
Common Claims
Breach of Fi-Du
State Securities Laws
Frequently Asked Questions
Attorney Referrals
Video Center
legal blog Click here for a free case evaluation. Read our Articles on Securities Related Issues here. have a question resources
contact us
Are you a new client?
10 Avvo avvo badge
If you need help recovering your losses contact us today. View our complete list of brokerage firms and banks we've sued.

California State Securities Lawyer

Information regarding State Securities Laws

Your California securities broker and brokerage firm, have both state and federal laws that must be followed in order to perform their fiduciary duties with regard to their investment clients. The United States Securities Exchange Commission and the California Department of Corporation, Securities Regulations Division have statutes in place to protect you, the investor, from fraudulent and/or negligent activity at the hands of your investment advisors. With the help of a knowledgeable California arbitration attorney from our firm, you can file a claim to hold the responsible parties liable for any losses you may have incurred due to broker or brokerage firm misconduct.

Common areas that can result in claims being filed against a broker or brokerage firm when state securities laws are violated include:

When your broker or brokerage firm violates state securities laws which result in a significant loss for you regarding your securities investment, it's important to have the experience and skill of the legal professionals from our firm to help you sort things out.

State Securities Attorney Serving California

Trying to determine on your own if your stock broker or brokerage firm is acting fraudulently can be a tricky undertaking. With a little help from our proven and trusted lawyers, we can assess the situation to determine if your concerns are warranted and if so hold the responsible parties liable. With 35 years of experience representing clients in the field of securities fraud, the legal professionals at The Law Offices of Jonathan W. Evans & Associates can make a distinct difference in the outcome of your securities dispute. We are committed to taking the time to get to know you and every detail of your case in order to build a successful strategy for resolving your securities challenge.

Contact a California state securities lawyer from our firm today to learn more about your securities fraud rights and concerns.

The Law Offices of Jonathan W. Evans & Associates - California Securities Fraud Attorney
Located at 12711 Ventura Boulevard, Suite #440 Studio City, CA 91604. View Map
Phone: (800) 699-1881 | Local Phone: (818) 760-9880.