The White Law Group, LLC is a national securities fraud, securities arbitration, investor protection, and securities regulation/compliance law firm with over thirty years securities law experience, including experience at FINRA and the SEC.
Our firm is dedicated to helping investors in claims in all 50 states against their financial professional or brokerage firm. Since the firm launched in 2010, it has handled over 700 FINRA arbitration cases.
Our firm represents investors in all types of securities related claims, including claims involving stock fraud, broker misrepresentation, churning, unsuitable investments, selling away, and unauthorized trading, among many others.
With over 40 years of securities law experience, including experience working at FINRA and the SEC, The White Law Group has the expertise to help investors defrauded in securities, investment and financial business transactions attempt to recover their investment losses.
The firm has offices in Chicago, Illinois and Seattle, Washington. Although located in Chicago and Seattle, The White Law Group handles securities fraud cases throughout the country and South Carolina, including reviewing securities fraud cases in Charleston, Hilton Head, Columbia, Myrtle Beach, and Greenville. To contact The White Law Group, please call 312-238-9650.
Or, for more information about The White Law Group or securities fraud, you can also visit the firm’s website at http://whitesecuritieslaw.com.
Tags: broker fraud, Charleston securities attorney, Charleston securities lawyer, Columbia securities attorney, Columbia securities lawyer, FINRA arbitration, Greenville securities attorney, Greenville securities lawyer, Hilton Head securities attorney, Hilton Head securities lawyer, investment fraud, Myrtle Beach securities attorney, Myrtle Beach securities lawyer, South Carolina securities attorney, South Carolina securities fraud, South Carolina securities lawyer Last modified: April 6, 2023