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
Affinity Fraud
Breach of Contract
Failure to Conduct Due Diligence
Failure to Disclose Facts and Risks
Failure to Execute Trades
Selling Away
Account Churning
Ponzi Schemes
Scams Involving High Yield CDs
Stockbroker Fraud
Transferring Your Investment Account
Unauthorized Trading
Unsuitable Securities
Securities Fraud
Securities Mediation
Securities Litigation
Stock/ Investment Losses
Suitability/ Unsuitability
Unauthorized Trading
Common Claims
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 Broker Misrepresentation Lawyer

Have you been damaged by broker misrepresentation or omission?

Stock brokers, brokerage firms and financial advisors have a fiduciary duty to supply their clients with appropriate guidance concerning their securities investments. The Securities and Exchange Commission (SEC) has set forth policies concerning this fiduciary duty and the right of the client to take legal actions to recover their losses in the event that this fiduciary duty is breached. If you need an experienced and knowledgeable California securities fraud attorney, our firm can start today counseling you and assisting you in pursuing a legal resolution to your securities dispute.

It is important that a broker present all the material facts concerning an investment in which they are advising a client to invest. Misrepresentation, either by falsifying information or by omission is a breach of the investment advisor's fiduciary duty and thereby deemed misconduct. When all of the known risks involved in an investment are intentionally not properly disclosed by your investment advisor, and subsequent losses are incurred, the investment advisor can be held responsible. Failure by your investment professionals to give you fair advice is a violation of SEC policy and can be grounds for you to take legal action to recover any losses sustained.

Securities Fraud Attorney Serving California

At The Law Offices of Jonathan W. Evans & Associates, our lawyers bring 35 years of experience representing clients in finding a favorable resolution to their securities disputes. When you have incurred monetary losses due to misrepresentation or omission by your broker, brokerage firm or financial advisor, our firm has the skill and experience you need to assist you in bringing legal action against the responsible parties. We are committed to devoting the necessary time and resources to insure that your best interests are being served.

Contact a California securities fraud lawyer from our firm today to get the support and assistance you need in your securities challenge.

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.