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Nashville, Tennessee: Securities Fraud Attorney

CS1031 Ashford Townes BFR Housing DST: Lawsuit Investigation. Featured by top securities fraud attorneys, The White Law Group

Tennessee Securities Fraud Attorney

Are you searching for a Nashville Tennessee securities fraud attorney? The White Law Group is a national securities fraud and investor protection law firm with offices in Chicago, Illinois and Seattle and/ or Washington. With over 30 years of experience—including work at FINRA and the SEC—our attorneys represent investors nationwide, including throughout Tennessee.

Experienced Representation for Investors in Tennessee

Securities fraud can severely impact investors and their retirement savings. The White Law Group helps clients recover investment losses due to:

  • Broker negligence or misconduct
  • Unsuitable investment recommendations
  • Misrepresentation or omission of key facts
  • Fraudulent private placements
  • Ponzi schemes or unauthorized trading

Whether you’re located in Nashville, Memphis, Knoxville, Chattanooga, or another part of Tennessee, our securities attorneys can evaluate your claim and explain your recovery options. Most claims are handled through FINRA arbitration, the primary forum for resolving disputes between investors and brokerage firms.

Nationwide Reach & Local Experience

Although based in Illinois and Seattle, The White Law Group represents investors across the country. We’ve handled thousands of FINRA arbitration claims and recovered millions for defrauded investors—including many in Tennessee cities such as Franklin, Hendersonville, Murfreesboro, and beyond.

Types of Securities Fraud We Handle in Tennessee

We are currently investigating and reviewing claims involving:

  • High-risk private placements
  • Non-traded REITs
  • Variable annuities
  • Oil and gas partnerships
  • Alternative investments sold to retirees
  • Unsuitable or overly concentrated portfolios

If you believe you were the victim of broker misconduct or investment fraud in Tennessee, we may be able to help you pursue recovery through FINRA arbitration.

Frequently Asked Questions – Tennessee Securities Fraud Attorney

What should I do if I suspect fraud by my broker in Nashville Tennessee?
Gather your account records and communications, and contact an experienced securities attorney. We offer free consultations.

Can I sue my financial advisor in Tennessee?
Securities disputes are generally resolved through FINRA arbitration, not a traditional court. Our firm handles these claims nationwide.

What is the time limit for filing a claim?
Deadlines vary by case type. It’s important to contact an attorney quickly to preserve your rights.

Do I need to visit your office?
No. We represent Tennessee clients remotely. All consultations and case management can be handled by phone, email, or video.

How much does it cost to hire your firm?
We work on a contingency fee basis—you pay nothing unless we recover money for you.

Contact a Tennessee Securities Fraud Attorney Today

If you’ve suffered investment losses due to fraud or broker misconduct, call The White Law Group at 312-238-9650 for a free consultation. To learn more, visit whitesecuritieslaw.com.

https://www.finra.org/

 

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