The firm is now serving Northeastern Florida, including Jacksonville and the surrounding areas, in order to help residents pursue justice in cases of broker fraud. Those who are seeking legal support in cases relating to financial industry crimes can enlist Soreide Law Group for all-costs-advanced representation. These cases are being filed by securities lawyers in the Financial Industry Regulatory Authorities or “FINRA” Dispute Resolution Forum.
To learn more, visit https://www.securitieslawyer.com
In accordance with Florida Law, the Florida Investors Protection Act protects individuals who have suffered financial losses due to fraudulent behavior by a broker are entitled to pursue compensation. Soreide Law Group can now help clients in the Jacksonville area with its FINRA arbitration services.
The lawyers at the firm are experts in FINRA arbitration, which is a complex process where settlement can be achieved out of court. Individuals who seek recovery through this method may be able to leverage state, local, and federal statutes as well as FINRA-specific regulations to secure justice in their case.
Lars Soreide, the head attorney at the law group, has represented over 400 investors over the past 14 years in the FINRA forum, during which time he became familiar with the regulations and processes necessary to achieve a just outcome in cases of securities fraud. As a result, he and his team have achieved success in over 90% of cases they have taken on.
One client said, “Our experience with Lars Soreide was very satisfying. He is a very sincere and dedicated lawyer. He did an excellent job in representing us in front of the arbitrator. We recovered 100% of the funds that we invested with the stockbroker. We highly recommend him.”
Soreide Law Group has handled cases relating to unauthorized trading, excessive commission, overleveraging of ETF assets, unjust losses in the oil and gas sector, and a wide variety of other crimes across the financial industry. Their team is dedicated to pursuing every possible avenue in a given case to ensure the best chances of a positive outcome for the plaintiff.
Individuals who believe they may have a claim should visit the Soreide Law Group website for a more thorough breakdown of the cases they typically handle. They also recommend making use of FINRA’s Brokercheck database to investigate financial professionals who are suspected of engaging in fraudulent or negligent behaviors in the securities industry. The FINRA Brokercheck website would show if there are previously filed complaints against any financial professional. Consultations are available at 1-888-760-6552.
For more information, visit https://www.securitieslawyer.com
Soreide Law Group
2401 East Atlantic Boulevard
Disclaimer: The views, suggestions, and opinions expressed here are the sole responsibility of the experts. No Scottish Opinion journalist was involved in the writing and production of this article.