The Frankowski Firm, has been advocating for individual and institutional investors for 15 years. Our firm?s lawyers understand the complexities of state and federal securities laws. We also are intimately aware of the Financial Industry Regulatory Authority (FINRA) Rules that govern all aspects of the securities arbitration process. We represent clients before arbitration panels, in court, and in mediation. Our practice is dedicated to protecting investor rights and to correcting the wrongful conduct that damages our clients.
Our goal is to fight for the rights of investors and to hold financial brokers and entities liable for greed, malpractice, fraud, and negligence. The Frankowski Firm has a proven track record of obtaining large awards for financial injustice.
Securities fraud. Securities fraud, also known as stock fraud and investment fraud, is a deceptive practice in the stock or commodities markets that induces investors to make purchase or sale decisions on the basis of false information, frequently resulting in losses, in violation of securities laws