"The primary goal of our law firm is to provide service to those who do not have a voice and need strong, courageous representation.”—Richard Frankowski
Every broker and every brokerage firm has a duty to each and every investor to make truthful disclosures, to use due diligence to determine the investor’s objectives and the risk tolerance, and to recommend investments that are suitable for the investor. When brokers and firms put their own self-interests ahead of their clients’, we are there to protect the rights of their victims.
The Frankowski Firm is a boutique law firm representing victims of securities and investment negligence and fraud. We have a documented track record of success, and are dedicated to providing excellent service to our clients. Our lawyers understand broker malpractice, negligence, and securities fraud and they know what steps are necessary to ensure that our clients’ needs are addressed in a timely and effective manner.
When we believe broker negligence or fraud has injured our clients, we bring the claims in the appropriate legal forums. Depending on the type of case, we file claims in FINRA arbitration or in state or federal court. Whether the case involves a single person or an entire class of people, we fight to defend the rights of investors around the country. We are one of the few law firms in the country equipped to handle complex FINRA arbitration claims, and have earned accolades for our sophisticated and proactive approach to these cases.
Contact us today if you need legal assistance with any of the following:
Call Attorney Richard Frankowski today at 615-656-4391 to arrange your free initial consultation.