Investment Fraud

Since the 1980s, our law firm has represented investors throughout the United States and abroad. Our lawyers have consistently focused on this area of the law since then. From Wall Street to local scam artists, we have a track record of taking on those responsible for investment fraud, unethical, conflicted, and incompetent activity in connection with our clients’ investment portfolios.

We handle claims involving the following:

  • Suitability violations
  • Hedge funds
  • Non-traded REITs
  • Overconcentration resulting from failure to properly allocate and diversify a portfolio
  • Supervision and compliance breakdowns
  • Variable and equity index annuities
  • Ponzi schemes
  • Churning and excessive trading
  • Fraud
  • Alternative investments
  • Oil and gas products
  • Commodities
  • Proprietary mutual funds
  • Derivatives
  • Limited partnerships
  • Conflicts of interest
  • Penny stock fraud

For us, representing investors who have been misled or deceived is not just our profession, it is our passion. We focus on exposing conflicts of interest, greed, incompetence, negligence, theft, and other wrongdoing by big brokerage firms, small brokerage firms, hedge funds, real estate investment operators, trust companies, investment advisors, family offices, insurance companies, banks, individual trustees, and negligent financial planners.  Drawing on our decades of experience, Vernon Litigation Group fully appreciates that a client-centered approach to resolving disputes involving investor fraud is vital to achieving the best possible resolution for our clients.

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