Securities

FitzGerald Kreditor Bolduc Risbrough LLP has represented the interests of investors in complex matters alleging fraud, negligence, and breach of fiduciary duty pursuant to the rules established by the U.S. Securities Exchange Commission, the Securities Act of 1933, the Securities Act of 1934, and other applicable federal and state laws. Among the diverse range of securities matters we have litigated include:

  • Litigation on behalf of investors seeking relief for financial losses resulting from fraud, mismanagement, self-dealing, and other securities fraud offenses

  • Shareholder derivative lawsuits and disputes between owners of closely-held companies

  • Prosecute and defend corporate entities, officers, and directors in shareholder litigation

  • Representation of investors and broker-dealers in FINRA proceedings

Our attorneys have obtained positive outcomes for our clients in many private securities actions, including securities arbitrations. We pride ourselves in producing favorable results and delivering value to our clients.

For more information on our securities services, please contact our team of expert attorneys.