Solid and Aggressive Securities and Investment Fraud Attorney
The firm defends and prosecutes broker-dealer disputes, including claims involving allegations of improper sales practices, churning, unsuitability, misrepresentations or omissions, unauthorized trading, unreasonable delay, failure to invest funds, failure to provide information, negligence, and numerous other state and federal securities laws claims. FINRA arbitrations constitutes a portion of our practice.
We focus on a variety of stock market and investor fraud claims. If you are the victim investment losses and need knowledgeable, experienced, and aggressive representation then contact the Law Offices of Destiny Aigbe to discuss your concerns and possible solutions. We work with a number of different types of cases including:
- improper sales practices
- misrepresentations or omissions
- unauthorized trading or transactions
- unreasonable delay or failure to invest funds
- failure to provide information
- investor disputes with investment fund, partnerships, or investment advisers
- fund locks ups and early withdrawal of capital
Destiny Aigbe is an experienced litigator who collaborates with other renowned law firms, accountants, financial analysts, and different relevant experts in order to bring you the best possible resources for your case. He is aggressive, yet dedicated towards his client’s needs. He will give you his undivided attention and his very best advice for your situation. If you have been involved in investment losses or problems with your broker and wish to seek compensation, please contact the knowledgeable staff here to discuss your concerns.
Use the form below to contact us regarding your legal inquiry. Please be as detailed as possible. Include your industry along with any specific document requests. To help us best service your inquiry, we recommend that you first describe the issue you’re having before telling us what you want to achieve. You may also email or call us to make an appointment.