More Than 20 Years of Experience Representing Clients In Financial Fraud Cases In The State Of Illinois and Nationwide

Dishonest people in the financial industry have abused investors' confidences for many years.

At the Landsman Law Firm, LLC, our experienced securities litigation lawyer Laurence M. Landsman has spent decades advocating on behalf of investors who have suffered substantial losses as a result of fraudulent and negligent activity, broker fraud and stock fraud.

Mr. Landsman's wealth of legal knowledge and tenacious approach at trial has enabled our firm to recover millions of dollars for our clients since 1994.

Brokers may commit a number of illegal acts in order to manipulate accounts and try to make more commissions. Fraudulent activities that may lead to litigation, including:

  • Making inconsistent recommendations
  • Suggesting unsuitable investment strategies
  • Churning, meaning excessive transactions on accounts
  • Switching mutual funds
  • Directing a client to make inappropriate investments

Making false claims about a company’s products, sales, assets or any other misleading statements including omissions of material information is considered a fraudulent act. Laurence Landsman has successfully represented clients in matters involving the Financial Industry Regulatory Authority (FINRA), the Securities and Exchange Commission (SEC) and the Commodity Futures Trading Commission (CFTC). We are also experienced in business litigation in state and federal courts across the country.

Our investment fraud attorney's goal is to protect your interests and your assets by holding a negligent or fraudulent party responsible. Call us today at 312-801-5684 or send our law offices an email message from this website.