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Securities Litigation and Investment Losses




Securities litigation is a multifaceted, highly specialized area of practice.  The securities laws are complex, and securities cases typically involve high stakes and sensitive matters.  Securities claims present the risk of substantial damage awards and adverse publicity, as well as other serious risks and exposure.

At The Brookman Law Group, we are fully aware of our clients’ business interests and are adept at achieving swift and seamless resolutions to securities-related disputes and investigations. The principal of The Brookman Law Group – Robert Brookman, Esq. – possesses thorough knowledge of the substantive and procedural laws applicable to these claims, excellent litigation and trial skills, and the experience to effectively manage these types of engagements.

The Brookman Law Group may also be of assistance to you if you have experienced a decline in your investment or retirement account. Such a decline is often actionable when a brokerage firm or broker fails to adhere to a client’s investment objectives or is otherwise negligent in managing a client’s funds.

Mr. Brookman has successful prosecuted virtually every type of securities complaint both in state and federal court as well as arbitration before the Financial Industry Regulatory Authority. Mr. Brookman regularly litigates against the largest investment banks and brokerage firms across the country and has successfully obtained substantial recoveries for his clients. Your initial consultation is free and there is no fee unless we recover.

We can assist you with your securities claim or defense. Call today for an initial consultation.


If you are facing charges for these or any other criminal offense, The Brookman Law Group can take your case, fight for your rights, and help protect you against injustice and mistreatment. Contact us today for a free consultation.


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