Chicago, Illinois Securities Fraud Lawyers
Investment managers and advisors, stockbrokers and other professionals who manage clients' money have a fiduciary duty to their clients. When a company or individual makes false statements or misrepresents a stock's true financial prospects, investors can lose substantial sums of money. Victims of securities fraud can seek legal representation.
Are you the victim of securities fraud? Call Schad, Diamond & Shedden, P.C. today at 312-985-0207 to schedule a free initial consultation. You can also e-mail us and we will contact you.
Experienced representation in securities fraud litigation
Schad, Diamond & Shedden, P.C. handles securities fraud litigation in state and federal court. We protect the rights of shareholders and investors who have fallen victim to the fraudulent activities of corporations and their officers, investment managers and advisors, stockbrokers, such as the following:
- Breach of fiduciary duty
· False statements and Misrepresentation
and omission of material facts
- Breach of contract
- Stock churning
- Market manipulation
- Unauthorized trading
Securities fraud can occur when a company does not give you the full picture of its financial status and outlook, or when investment managers allow trades without your approval, commingle funds, do not follow your instructions or otherwise act in bad faith. Investors entrust these professionals with their money. When you lose money through another's wrongdoing, our attorneys can help.
Schad, Diamond & Shedden, P.C. handles securities fraud class actions. Our experience and results-oriented approach can be put to work for you. Contact us today to schedule a free initial consultation.