Securities & Investment Fraud
Representing Clients and Families Throughout Maryland
Securities Lawyers Representing Investors across the Country
Investments are more than just money. For many people, investments represent their retirement savings and financial security. Losing investments can be devastating, both financially and emotionally.
The Costello Law Group, based in Towson, Maryland, provides high-quality legal services for investors throughout the United States who have lost their savings due to investment fraud or stockbroker misconduct. They are dedicated to helping investors seek justice and restore their financial security.
Experienced Representation in Securities Law Cases
Securities law involves complex, nuanced legal issues that require the in-depth legal knowledge of an experienced securities lawyer. Founder, Thomas C. Costello, has a background in securities law that includes defending investment firms and financial advisors. His unique perspective, from having worked on both sides of the table, makes him an asset to any investor who is looking for effective representation from an aggressive, knowledgeable advocate.
Securities Litigation and Arbitration
The vast majority of securities disputes between investors and investment professionals or brokerage firms are resolved in arbitration before the Financial Industry Regulatory Authority (FINRA). The Costello Law Group has successfully represented hundreds of individual investors throughout the United States in FINRA arbitrations, state court and federal court, as well as in mediations.
If you have lost money in the stock market due to fraud or misconduct on behalf of an investment professional or brokerage firm, contact the Costello Law Group for a free initial consultation. Their experienced securities attorneys will offer a no-cost assessment of your case and explain your options, so that you can make an informed decision about how to move forward.
Nationwide Representation – Mid-Atlantic Law Firm (Baltimore, MD)
Did you lose money in the stock market due to financial fraud or misconduct of an investment professional or brokerage firm? Call an investment fraud attorney at the Costello Law Group toll-free at 877-418-0003 for a free initial consultation.
FINRA and SEC News…
The Financial Industry Regulatory Authority (FINRA) fined and suspended Timothy W. Leveroni, a broker with 46 years of experience, for allowing colleagues to falsify his signature on over 100 client documents at LPL Financial in Braintree, Massachusetts.
The Financial Industry Regulatory Authority (FINRA) in the United States has disclosed in an official report that approximately 70% of retail communications regarding cryptocurrencies breach its regulations against misleading claims.