Skilled Colorado Securities Fraud Lawyers
Securities Broker Litigation: Representing Investors and Brokers
At the Feder Law Firm, our securities litigators represent investors and brokers in Federal Financial Industry Regulatory Authority (FINRA) (formerly known as NASD) arbitrations, as well as brokers appearing before the Securities and Exchange Commission (SEC) and the Colorado Division of Securities. If you have been accused of improprieties or misconduct in the securities industry, we can help you. We are experienced and skilled in securities litigation.
Our principal, Steven M. Feder, is a FINRA-certified arbitrator. We represent both investors and brokers. We can provide you with the representation you need when facing a securities fraud issue. We have represented clients in matters involving:
- Broker fraud
- Investment fraud
- Unauthorized transactions, failure to supervise, and suitability
- Violations of federal securities laws and the Colorado Securities Act
- Breach of fiduciary duty
- Forgery
- Scam victims
- Ponzi schemes
Our Securities Fraud Practice: Current, Comprehensive, Effective
Securities-related litigation is on an upswing. Investors were putting large portions of their savings into the market at a staggering rate, through both direct stock purchases and contributions into mutual funds. The recent drop in the stock market has decimated many portfolios. Whether you are a plaintiff victimized by securities fraud or a defendant accused of committing such action, we have the skill and experience to represent you.
Contact Us to schedule an appointment with one of our experienced attorneys to learn more about your rights.
Feder Law Firm
Equitable Building
730 17th Street
Suite 550
Denver, CO 80202-3539
Toll Free: 866-721-5761
Phone: 303-261-8798
Fax: 303-221-7357
E-mail

