Thomas Law Group specializes in assisting individuals who have suffered losses due to stockbroker misconduct. With a dedicated team of attorneys, experts, and consultants well-versed in the securities and commodities sectors, the firm has successfully represented over 2000 clients nationwide since 1991.
Operating in various legal arenas such as FINRA, AAA, NFA, CFTC, and both Superior and Federal courts, Thomas Law Group advocates for both investors and brokers in securities arbitrations. The firm's focus on brokerage customer representation includes addressing a range of violations, from suitability recommendations to negligence and unauthorized trading.
Having facilitated the recovery of over $100 million for its clients through settlements, mediations, arbitrations, and litigations, Thomas Law Group remains dedicated to providing comprehensive legal support and expertise to those affected by investment fraud and brokerage disputes.
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