Securities Attorney Boca Raton Florida
Have you lost money in the stock market due to stock broker fraud? Are you the victim of misrepresentations by a stock broker, financial advisor or registered investment advisor? Were you sold securities that were too risky given your investment objectives and risk tolerance? Did a brokerage firm fail to fulfill its fiduciary duties to you? If so, you may be able to recover some or all of the money you have lost at the hands of your stock broker and/or brokerage firms.
The firm is headed by Gregory Tendrich, Rated AV® PreeminentTM by Martindale-Hubbell® and a life member of the Multi-Million Dollar Advocates Forum® and the Million Dollar Advocates Forum®.
Mr. Tendrich previously served as Assistant General Counsel and in-house counsel to both regional and national brokerage firms.Relying on his many years of in-house brokerage firm experience and his years as a FINRA Arbitrator and a County Court Mediator, Mr. Tendrich has a unique perspective on the many issues facing investors, brokerage firms and stock brokers.
Since 1992, Mr. Tendrich has concentrated his practice to representing clients in cases involving stock broker fraud, unsuitable investments, churning, misrepresentation, exploitation of the elderly and other financial abuses.
Contact Gregory Tendrich for a free initial consultation about your case.
Compensation for Victims of Securities Fraud
Gregory Tendrich is a stock fraud attorney and an advocate for investors in cases involving unsuitable investments, unauthorized trading, stock fraud and other stock broker abuses. He has represented hundreds of clients in FINRA arbitration proceedings and seeks full and complete recovery of an investor’s losses in every case he handles. When you choose him to represent you, Gregory Tendrich will undertake a comprehensive legal effort on your behalf. He will document your losses and the wrongdoings and misconduct of your broker or investment firm and seek to recover your losses.
Licensing, Disciplinary and Employment Issues Affecting Stock Brokers & Investment Professionals
Gregory Tendrich provides advice and representation to stock brokers, financial advisors, registered investment advisors and brokerage firms in regulatory, licensing, disciplinary, compensation and termination matters. Prior to starting his own practice, Mr. Tendrich served as in-house counsel to regional and national brokerage firms for nearly a decade. During his in-house career, Mr. Tendrich also held the Series 7 securities license and worked intimately with the Legal and Compliance departments and upper management of these firms.
Given his vast understanding of the securities industry he can assist you in all matters involving your securities license (registration, U-4 and U—5), SEC, FINRA and SRO inquires and those matters involving new hire and terminations (promissory note, employment agreements, transition agreements, non-compete agreements, resignations).
Gregory Tendrich has been a certified FINRA arbitrator since 1995. He is also certified as a mediator by the Florida Supreme Court.
For skillful representation and knowledgeable advice, look to The Law Office of Gregory Tendrich, P.A.
Contact an Attorney
In a free initial consultation, Boca Raton securities fraud attorney Gregory Tendrich can review your case and discuss your legal options. Contact Gregory Tendrich today.
The hiring of a lawyer is an important decision and should not be based solely on advertisements. Before you decide, ask Gregory Tendrich to send you free, written information about his qualifications and experience or view the Attorney page on this Website.