We are Investor Advocates
Palmieri & Co., is member of FINRA/SIPC and represents investors internationally in FINRA arbitrations and investigating serious and organized fraud in multiple jurisdictions. Our goal is to recover investment losses for our clients from broker-dealers and financial advisors locally and abroad Palmieri & Co., has recovered millions of dollars for victims of fraud and continually manages complex class action lawsuits for large investor groups targeted by international fraudsters. Our clients are commonly the victims of securities fraud, unsuitable investment strategies, misrepresentations, and fraudulant online international brokerages.
Whilst traditional crime continues to grow, the threat of cybercrime is one of the most defining issues of modern times. As the Internet continuously expands, online criminals are finding sanctuary in unregulated environments around the world. However, as cybercrime trends evolve, so do we. Our team can help you determine if securities losses were the result of unfair or unlawful practices in the brokerage industry.
Claims brought on behalf of clients include suitability, churning, unauthorized trading, breach of fiduciary duty, fraud, and negligent misrepresentation. However, securities fraud can take many forms and may not be easily discoverable. Some advisors place clients in high risk, high commission products without adequately disclosing the risks of those products to their clients. Many of these investment products can drain client accounts, are often illiquid, and can decimate retirement planning.