Profile
A National Law Firm Exclusively Representing Defrauded Investors
The Guiliano Law Group, P.C. is a premier, nationally recognized boutique law firm with a practice limited to the representation of investors seeking to recover their investment losses. For over 30 years, our firm has fought for the rights of investors, successfully litigating more than 1,200 claims and recovering over $110 million. We are lawyers for investors, period. Our singular focus on securities arbitration and investment fraud allows us to provide a level of expertise and experience that is second to none. We understand that Wall Street hires the best lawyers, and we believe you should too. We are dedicated to holding stockbrokers and their brokerage firms financially accountable for the victims of their misconduct.
Comprehensive Advocacy in Securities Arbitration
Our practice is dedicated to helping investors navigate the complex FINRA securities arbitration process. We have the resources, knowledge, and experience to take on the largest multinational financial firms and win. Our cases are handled on a contingency fee basis, meaning we advance all costs and there are no legal fees unless we make a recovery for you.
- Investment Fraud and Misconduct: We represent investors who have been victims of stockbroker misconduct, including fraud, negligence, breach of fiduciary duty, and the sale of defective or unsuitable financial products.
- Unsuitable Investment Recommendations: We hold brokers accountable when they recommend speculative or high-risk investments that are inappropriate for an investor’s goals and risk tolerance.
- Churning and Excessive Trading: Our firm fights against the illegal practice of churning, where brokers execute excessive trades in a client’s account primarily to generate commissions.
- Stockbroker Theft and Misappropriation: We pursue claims for investors whose funds have been stolen or misappropriated by dishonest brokers.
- Elder Financial Abuse: We are staunch advocates for elderly investors who are often targeted and exploited by unscrupulous financial professionals.
A Reputation for Excellence
The quality of our legal representation is recognized by our clients, our peers, and the legal community. We are proud members of the Public Investors Advocate Bar Association (PIABA) and have earned the highest ratings from Martindale-Hubbell and Avvo. We understand the trust our clients place in us, and we are committed to providing aggressive advocacy, impeccable preparedness, and zealous representation to achieve the best possible results. When you have been wronged, you deserve a law firm that will make your cause their own.
Specializing In
Securities Arbitration, Investment Fraud, FINRA Claims, Stockbroker Misconduct, Breach of Fiduciary Duty, Unsuitable Investments, Churning, Elder Financial Abuse
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