Top Locust Grove, GA Securities Fraud Lawyers Near You
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400 Galleria Pkwy SE, Suite 1920, Atlanta, GA 30339
3350 Riverwood Pkwy, Suite 1250, Atlanta, GA 30339
201 17th Street NW, Atlantic Station, Suite 1700, Atlanta, GA 30363
3050 Peachtree Road NW, Suite 355, Atlanta, GA 30305
1201 West Peachtree, Suite 1100, Atlanta, GA 30309-3232
152 Nassau Street, N.W., Atlanta, GA 30303
117 North Erwin Street., Cartersville, GA 30120
133 Nassau St NW, Atlanta, GA 30303
1875 Old Alabama Road, Suite 510, Roswell, GA 30076
285 W. Wieuca Rd NE, Unit 4056, Atlanta, GA 30342
301 Washington Ave, Marietta, GA 30060
4360 Chamblee Dunwoody Rd, Suite 505, Atlanta, GA 30341
555 Northpoint Center East, 4th Floor, Alpharetta, GA 30022
14 Lenox Pointe NE, Suite A, Atlanta, GA 30324
1100 Peachtree St NE, Suite 900, Atlanta, GA 30309
1800 Peachtree Street NW, Suite 300, Atlanta, GA 30309
113 Glynn St S, Fayetteville, GA 30214
1145 Hightower Trail, Atlanta, GA 30350
3538 Habersham at Northlake Rd, Building D, Tucker, GA 30084
244 Roswell St, Suite 500, Marietta, GA 30060
100 N Main St, Suite 340, Alpharetta, GA 30009
1355 Peachtree Street NE, Suite 455, Atlanta, GA 30309
110 Evans Mill Drive, Suite 402, Dallas, GA 30157
1800 W Peachtree St NW, Suite 430, Atlanta, GA 30309
1745 Martin Luther King, Jr. Drive Southwest, Atlanta, GA 30314
Locust Grove Securities Fraud Information
Lead Counsel independently verifies Securities Fraud attorneys in Locust Grove and checks their standing with Georgia bar associations.
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Ample Experience
Attorneys must meet stringent qualifications and prove they practice in the area of law they’re verified in.Good Standing
Be in good standing with their bar associations and maintain a clean disciplinary record.Annual Review
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What Does the Law Say About Securities Fraud?
Securities fraud involves fraudulent misrepresentations in buying, selling, trading stock or other financial commodities. Securities fraud can also involve stock price manipulation to artificially inflate or deflate stock values. Securities fraud is a type of “white-collar crime,” which is a financially motivated, nonviolent crime.
Is Securities Fraud a Federal Crime?
Securities fraud is a federal offense, like mail fraud or wire fraud. Under securities law in the U.S. Code, it is a violation of the Securities Exchange Act to defraud any person in connection with any commodity. It is also a crime to execute a scheme to obtain money or property in connection with any stock commodity through misrepresentation, false pretenses, or fraudulent promises.
Securities fraud may also be a violation of Georgia state law. Many states have a law that mirrors the federal criminal statute. State agencies or state law enforcement may prosecute fraudulent securities practices that occur within state lines.
What Are Common Types of Securities Fraud?
Fraudulent security schemes can take a variety of forms. Common examples of securities fraud include:
- Corporate fraud
- Insider trading
- Internet fraud
- Short selling schemes
- Ponzi schemes
- Pump and dump
Corporate fraud generally involves misrepresentations made by corporate directors and executives. This may include misrepresentations or cooking the books to artificially inflate the company’s stock value. Corporate shareholders can then profit from selling the overpriced stock or selling the overvalued company. The Enron corporate fraud case is a famous example of corporate-level fraud.
A Ponzi scheme is an investment scheme where earlier investors are paid out returns out of the money from new investors. As long as the share of investors continues to increase, other investors can receive consistent profits. However, as soon as the new influx of money starts to slow down or dry up, the scheme falls apart and individual investors find out their life savings are gone.
How Does Someone Find Out About Securities Fraud?
In some cases, a financial scheme can go on for years before anyone suspects any criminal activity. Federal government agencies may suspect fraud because of suspicious financial transactions, excessive trading, or irregular tax filings. However, many securities fraud cases are reported by whistleblowers. The Securities and Exchange Commission (SEC) has a whistleblower office for people to report possible fraud. Fraud may be reported by investors, employees, or even relatives who become aware of false securities claims.
Whistleblowers have an incentive to report insider trading or corporate fraud because the SEC provides monetary awards for individuals who report fraud that leads to SEC enforcement. Whistleblowers can receive up to 30% of the enforcement money collected.
Can You Go to Jail for Securities Fraud?
You can go to jail for securities fraud. Federal fraud statutes provide long prison sentences for felony fraud. Under U.S. law, a conviction for securities fraud can result in fines and imprisonment for up to 25 years. Depending on the fraud involved, securities violations may include other fraud charges, including:
- Telemarketing fraud
- Wire fraud
- Bank fraud
- Mail fraud
- Identity theft
- Credit card fraud
- Check fraud
- Insurance fraud
There may also be civil penalties for fraud, which could result in fines, treble damages, and restitution for the victims of investment fraud.
How Can an Experienced Securities Lawyer Help?
If your business or investment activities are being investigated by a government agency, you may be under investigation for securities fraud. Securities fraud attorneys may be able to represent you during an investigation to make sure your legal rights are represented. If you are facing legal action, criminal defense lawyers can represent you in court.
Investment fraud lawyers can use the discovery process to review all the evidence in your case, talk to witnesses, and gather relevant records to build a strong legal defense. An investment fraud attorney may also be able to negotiate a plea agreement for the best possible outcome. A successful plea deal can have charges reduced, charges dropped, or reduce the criminal sentencing.