Effective Securities Arbitration Services Since 1975
Stockbrokers, brokerage firms and investment advisors have a critical responsibility to their clients to encourage sound investment in a variety of different products such as annuities, stocks, bonds and others. When losses occur, investors may be able to pursue recovery for damages in cases of negligence,breach of fiduciary duty, lack of diversification, suitability, account churning and others.
Concentration on Security Fraud
The Law Offices of Jonathan W. Evans & Associates specializes in representing individuals, trusts, IRAs, pension plans and estates in bringing securities arbitration claims against the unethical or negligent professionals responsible for these losses. A skilled California securities fraud attorney with our firm can provide a distinct advantage for clients in a range of disputes concerning real estate investment trusts ( REITs), tenants-in-common (TICs), unit investment trusts UITs,structured products, private placements, limited partnerships and options.
Jonathan W. Evans has been practicing law since 1975 with a specialty in securities mediation, arbitration and securities litigation matters for public customers. Our firms' primary attorney and dedicated legal support staff have a deep understanding of state securities laws, and possess expert knowledge of how fraudor misconduct can occur in a variety of investment products including reverse convertibles, principal protected notes, mutual funds and promissory notes to name a few.
We have litigated hundreds of securities arbitration claims concerning many types of investment products, and have tried more than 80 cases to conclusions at the FINRA. Our firm has successfully represented hundreds of public investors in the pursuit of losses to favorable settlements.
Trusting Your Case With Our Qualified Legal Team
As described in the firm overview, The Law Offices of Jonathan W. Evans & Associates has built a trusted reputation for assisting clients in recovering losses incurred by unethical or negligent investment advisors, stockbrokers and brokerage firms. We have a strong record of success in achieving favorable settlements throughout all available legal channels, due to our strict organization casework, and our compelling advocacy to claims for loss.
Our practice represents public investors in disputes throughout California, across the United States and globally as well. Selected by peers and Los Angeles magazine as one of the top 5% in the field of securities litigation, our firm strives to provide an ethical and experienced approach to investment loss recovery for all of our clients. Included in the list of Super Lawyer® for the past five years, it is no wonder that our firm is highly regarded as one of the best at handling security fraud cases.
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