Investment fraud can also occur in the context of a trust or similar situation. Trustees must comply with the trust documents and also act according to their other legal duties, including the duty to avoid waste of trust assets.
The investment and securities fraud attorneys at Moulton & Arney, LLP have extensive experience representing individual investors in securities arbitration and litigation. Cindy Moulton and Lance Arney have successfully represented thousands of clients in securities and investment fraud cases, with combined claims of hundreds of millions of dollars.
If you have suffered an investment loss due to Trustee Mismanagement, you may be entitled to recover all or part of your investment. To find out more about your potential claims against your broker/financial advisor, investment firm, or securities firm for Trustee Mismanagement, please contact an experienced investment fraud attorney.