Articles Tagged with Failure To Supervise Investor Attorneys

Are You An Investor Who Suffered Losses Because of Broker-Dealer Supervisory Failures?

FINRA Orders Wells Fargo Clearing To Pay Over $3M Following Allegedly Unsuitable Short-Term Trades

Shepherd Smith Edwards and Kantas Failure To Supervise Investor Attorneys (investorlawyers.com) represent clients who have sustained losses because a broker-dealer’s failure to supervise their registered representatives resulted in allegedly unsuitable recommendations or trades. If you suspect that your investment losses could have been avoided were it not for financial advisor misconduct or negligence, contact us today.

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