Attorney Robert C. Port: Investment Advisor, Stockbroker, or Insurance Agent Fraud and Misconduct

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http://www.cgpglaw.com/Port.htm
678-775-3550
[email protected]

Practice Areas: Business Litigation; Securities Litigation; Broker-Dealer Arbitration; Commercial Collections.

1. Securities Litigation and Arbitration, including:
- Stockbroker and Investment Advisor Misconduct and Fraud
- Churning and Excessive Trading
- Unauthorized Trading
- Unsuitable Recommendations
- Unsuitable Annuities and Life Insurance Products
- Over concentration/Lack of Diversification
- Fraud and Misrepresentation
- Securities Fraud
- Sale of Unregistered Securities

2. Business and Securities Litigation, including:
- Contract Disputes
- Shareholder/Partnership Disputes
- Commercial collections and Creditor’s Rights Litigation
- Construction law and litigation
- Deceptive and Anti-competitive Trade Practices
- Employment Agreements, including Confidentiality and Non-Compete Litigation
- Real Estate Disputes, including Landlord/Tenant and Sales Contracts

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