Securities Fraud & Practice Areas

Providing Guidance After Loss

We are acutely aware of the devastating repercussions of investment fraud and believe the burden should be on us to gain a client’s trust in the difficult aftermath. When your faith and security have been compromised after such a major loss, the pathway to recovery may not be readily apparent.

At Goodman & Nekvasil, we are here to provide guidance with decades of experience helping investors who have fallen victim to securities fraud and investment fraud. If you have lost money due to broker misconduct, you are not alone, and we are here to help.

Broker misconduct includes inappropriate practices such as churning, lack of due diligence, negligence, Ponzi scheme, breach of fiduciary duty, breach of promise/contract, high-risk investments, and selling away.

Experience & Knowledge You Can Trust

When choosing a securities attorney, longstanding history and experience in the field is as important as being ahead of the curve. Goodman & Nekvasil is firmly grounded in both worlds, with our promise of good faith and trust built-in to how we do business. If you are interested in hiring Goodman & Nekvasil for your securities law claim, contact the firm today for a free consultation.

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