Common Investor and Financial Adviser Disputes

Over the years, Page Perry professionals have represented investors in multiple cases involving broker-dealers, investment advisory firms and their representatives.  While each case may present unique factual and legal circumstances, many of them involve one or more categories of adviser misconduct or problem areas that regularly recur.

We have identified twelve such problem areas.  These links will provide a brief overview of each one.  It is our hope that readers will find them instructive and helpful.  If you would like more information, please do not hesitate to contact us.

If you have experienced investment losses or problems involving a financial adviser, call Page Perry for experienced representation at (404) 567-4400 or (877) 673-0047 (toll free).