Practice Areas»Investor Fraud/Investment MismanagementQuickLinks
Employment Liddle & Robinson represents individual and institutional investors with claims for all forms of fraud and mismanagement involving their brokerage accounts. These claims revolve around stock brokers' failure to adhere to securities industry rules and regulations, including the "know your customer" and suitability rules, as well as claims for churning, fraud (including analyst fraud), breach of fiduciary duty, and margin violations. The Firm's broad knowledge of the securities markets and the arbitration process, based on its representation of securities industry executives, gives it excellent perspective in pursuing claims for defrauded investors. |
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Liddle & Robinson, L.L.P. 800 Third Avenue, 8th Floor New York, N.Y. 10022 Tel: (212) 687-8500 Fax: (212) 687-1505
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