The Law Offices of John E. Lawlor, Esq.
Investors are used to taking risks, it comes with the territory, but recent events have been a wake up call for investors to take a critical look at brokerage account activity and investment losses in order to discover whether some losses might be less about market fluctuations and more about broker malfeasance, fraud or neglect.
John E. Lawlor, Esq. is an attorney whose practice is dedicated solely to securities litigation which we handle in both federal and state court; FINRA arbitrations which are handled nationwide; FINRA investigations and enforcement actions; SEC investigations and actions; and state regulatory matters.
Mr. Lawlor has more than 30 years experience handling securities litigation and arbitration and has been personally involved in hundreds of actions before all the major self-regulatory organizations.
John E. Lawlor, Esq. has the experience and expertise to get results.
The Offices of John E. Lawlor, Esq.
129 Third Street
Mineola, New York 11501
800-613-2487 toll free
***WE ARE CURRENTLY INVESTIGATING CLAIMS AGAINST UBS FINANCIAL SERVICES AND MICHAEL SZTROM AND SHORT-TERM TRADING IN SYNDICATE (NEW ISSUE) PREFERRED STOCKS AND CORPORATE NOTES. FOR A FREE CONSULTATION, PLEASE CALL (516) 248-7700. FOR MORE INFORMATION, ***