Securities Law
10 Tips to Prevent Investor Fraud
Unsuitability
Securities Litigation for Investors
FINRA Investor Disputes & Arbitration
Investment Fraud
Ponzi Scheme
Margin Calls
Unauthorized Trading
Failure to Supervise
Churning/Excessive Trading
Negligence
Breach of Contract
Omission
Overconcentration
Complex Products
Non-Traditional ETFs
Direct Participation Program
Reverse Convertibles
Structured Notes with Principal Protection
Real Estate Investment Trusts (REITs)
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Event-Linked Securities
High Yield Bonds
Equity Indexed Annuities
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Adam Green, Founding Partner
Michael Schafle, Founding Partner
David Carney, Partner
Stephen Specht, Attorney
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BROKER MISCONDUCT - Stock Fraud Attorneys

Securities Law
10 Tips to Prevent Investor Fraud
Unsuitability
Securities Litigation for Investors
FINRA Investor Disputes & Arbitration
Investment Fraud
Ponzi Scheme
Margin Calls
Unauthorized Trading
Failure to Supervise
Churning/Excessive Trading
Negligence
Breach of Contract
Omission
Overconcentration
Complex Products
Non-Traditional ETFs
Direct Participation Program
Reverse Convertibles
Structured Notes with Principal Protection
Real Estate Investment Trusts (REITs)
Alt Mutual Funds
Event-Linked Securities
High Yield Bonds
Equity Indexed Annuities
Equipment Leasing Program
Unit Investment Trusts
Attorneys
Adam Green, Founding Partner
Michael Schafle, Founding Partner
David Carney, Partner
Stephen Specht, Attorney
About
Blog
Contact
Green, Schafle & Gibbs
August 1, 2016

Elderly Couple in Maryland Lost $1 mil in Unauthorized Trading

Green, Schafle & Gibbs
August 1, 2016

Elderly investors victimized by unauthorized trading and excessive risk in energy and heavy metal securities as well as low grade investment bonds.

Tagged: elderly investor, unauthorized trading, unsuitable investments, broker misconduct, excessive risk, low grade bonds

Green, Schafle & Gibbs
June 26, 2016

Pennsylvania Couple Recovers Losses Due to Excessive Risk

Green, Schafle & Gibbs
June 26, 2016

Green, Schafle & Gibbs is pleased to announce the favorable resolution of a case involving two aging Pennsylvanians whose broker allegedly engaged in unsuitable investments and excessive risk in their retirement savings' accounts.

Tagged: pennsylvania, securities attorneys, law firm, overconcentration, energy equities, high risk, broker misconduct

Green, Schafle & Gibbs
October 27, 2015

Investor-couple Recovers Losses Due to Erratic Trading & Lack of Supervision

Green, Schafle & Gibbs
October 27, 2015

On behalf of a couple who had suffered mismanagement and lack of supervision in their investment accounts, Green, Schafle & Gibbs settled for a substantial proportion of their losses.

Tagged: securities lawyers, nontraditional etfs, lack of supervision, red flags, philadelphia, green schafle gibbs, attorneys

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