Among the experiences that the attorneys at the Goldblatt Law Firm provide their clientele are in the area of securities and financial law. We have acquired, through our cumulative experience, numerous years in the field, earning us a solid reputation not only in the Saint Louis area but throughout the Mid-West. Our Saint Louis firm’s lead attorney, Steven Goldblatt, has built his own reputation by being one of Missouri’s top trial lawyers concentrating in securities, among, other areas of law. With all of their experience behind them, the attorneys at the Goldblatt Law Firm provide clients with experienced and qualified legal advice in securities law and litigating security cases.
Great Results
Our Saint Louis lawyers are able to achieve great results by staying current on securities laws in order to better serve our clients. Furthering the firm’s credo of putting the client’s interests first and foremost – expertise not only wins cases, but saves time which we all know saves us money. The Goldblatt Law Firm understands its fiduciary obligations and feels duty bound to provide efficient service which in turn becomes cost effective. Our understanding and mastering of this complex area of law, securities and financial law, is paramount when dealing with any regulatory agency. Rules and regulations are constantly changing with the times and our Saint Louis attorneys are up to date on every aspect. The entire staff at the Goldblatt firm all endeavor to provide quality legal advice and services available and are ready to serve you. Our knowledge in this particular area of law provides reassurance to our clients. The critical and strategic insight only adds to their ability to achieve the best results for our clients.
Securities Fraud
Securities Criminal Defense
With over 30 years of trial experience in the St. Louis area, the Goldblatt Law Firm has achieved great success through our leader, Steve Goldblatt. Attorney Goldblatt has defended brokers and dealers in security fraud cases, specifically involving stock, investments, and financial advisors; insider trading; fraudulent business corporations; nondisclosure; and manipulation of stock prices. Our securities law firm has successfully many cases of securities fraud, including business litigation.
Securities Fraud Defense for Investors
Knowing that trust and confidence in your broker is severely broken if you think securities fraud has occurred, we act quickly and efficiently to recover losses due to:
- Providing false Information to consumer or others
- Stock manipulation via types of trades (including late trades, or unauthorized trades), etc.
- Lying to auditors (SEC, NASD, etc.
- Insider trading
- Breach of fiduciary duty
- Broker embezzlement
Sadly, these types of fraudulent misconduct occur every day. And in this current market situation, today, we are finding more and more of these cases in the news each day. The end results to individuals and companies prove devastating. There is a term called “buyer beware,” which is used in the securities world. Unfortunately, certain investment advisors, brokers, etc. are more than happy to part you from your money and if they lose it, you lose it also. Not knowing if it was lost honestly or fraudulently is an issue the attorneys at Goldblatt can handle for you. But fortunately, the attorneys at our Saint Louis firm are experienced, diligent and honest.
If you would like to speak to one of the attorneys at the Goldblatt Law Firm about any securities issues, including fraud, call us at 314-288-8455, or contact us through our web form.