Securities Fraud Defense
Being a stockbroker carries high potential rewards, but also high risks. Brokers are not only subject to the whims of the market, but they are also subject to frequent lawsuits by former clients, brokerage firms and the government. Such charges can destroy a promising career, and only an experienced securities fraud lawyer should be trusted with the defense. Contact Steven Goldblatt, St. Louis Missouri and Illinois Securities lawyer to discuss your case.
Experienced and Sophisticated Securities Fraud Attorney
Attorney Steven Goldblatt has more than 30 years practice experience as a trial attorney. He has extensive experience in Securities Fraud as well as other business related litigation.
A large part of Mr. Goldblatt's practice is broker defense, including securities fraud cases involving the following:
- Stock fraud
- Insider trading
- Investment fraud
- Financial advisor fraud
- Fraudulent/illegitimate business corporations
- Nondisclosure
- Manipulation of stock prices (penny stocks)
Most of Steven Goldblatt's practice is in business related litigation, and he has argued before many of the higher courts throughout the United States.
Securities Fraud Representation in Civil Courts and FINRA Arbitrations
Attorney Steven Goldblatt also defends individual brokers against brokerages in civil courts and FINRA arbitrations. Brokerages frequently hire large civil law firms simply for the perceived prestige of the firm. By drawing on his many years of experience as a securities fraud lawyer, Mr. Goldblatt is able to successfully defend his clients against large law firms.
Contact a Knowledgeable Securities Fraud Lawyer
Whether you are facing charges for involvement in insider trading or for fraudulently reporting on the assets and liabilities of an illegitimate business, Mr. Goldblatt has the skill and experience to assist you. Contact a Securities Litigation Defense lawyer for sophisticated securities litigation defense.