Nashville Tennessee Securities Fraud Attorneys
Are you searching for an experienced Nashville Tennessee securities fraud attorney?
The White Law Group is a national securities fraud, securities arbitration, and investor protection law firm with offices in Chicago, Illinois, and Seattle, Washington. With more than 30 years of experience our attorneys represent investors nationwide, including throughout Tennessee.
Helping Investors Recover Losses in Tennessee
Securities fraud can devastate investors and their retirement savings. The White Law Group represents clients who have suffered investment losses due to:
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Broker negligence or misconduct
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Unsuitable investment recommendations
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Misrepresentation or omission of material facts
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Fraudulent private placements
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Ponzi schemes or unauthorized trading
Whether you live in Nashville, Memphis, Knoxville, Chattanooga, or anywhere else in Tennessee, our securities attorneys can evaluate your situation and explain your options for pursuing recovery.
FINRA Arbitration – How Most Tennessee Investors Recover Losses
Most claims involving investment fraud or broker misconduct are handled through FINRA arbitration, not traditional court litigation. FINRA (Financial Industry Regulatory Authority) is the primary forum for resolving disputes between investors and brokerage firms.
Key advantages of FINRA arbitration include:
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A faster and more cost-effective process than court
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Panels experienced in securities industry issues
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Nationwide accessibility — no need for local court appearances
Our attorneys have handled hundreds of FINRA arbitration claims on behalf of investors and recovered millions of dollars in losses. We regularly represent clients in Tennessee FINRA cases, including residents of Nashville, Franklin, Hendersonville, Murfreesboro, and beyond.
If your financial advisor recommended unsuitable or high-risk investments, our Nashville Tennessee securities attorneys can help you explore your legal options through FINRA arbitration.
Types of Securities Fraud We Handle in Tennessee
The White Law Group is currently investigating and reviewing claims involving:
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High-risk private placements and DSTs (Delaware Statutory Trusts)
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Non-traded REITs and BDCs
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Variable annuities and insurance products
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Oil and gas limited partnerships
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Alternative investments sold to retirees
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Overconcentrated or mismanaged portfolios
If you believe you were the victim of investment fraud or broker misconduct in Tennessee, we can help you pursue a recovery through FINRA arbitration.
Frequently Asked Questions – Nashville Tennessee Securities 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 fraud attorney. We offer free consultations to review potential claims.
Can I sue my financial advisor in Tennessee?
Most securities disputes are handled through FINRA arbitration, not traditional court lawsuits. Our firm handles these cases nationwide.
What is the time limit for filing a claim?
Time limits vary depending on the investment and the date of discovery. Contact a Tennessee securities attorney promptly to preserve your rights.
Do I need to visit your office?
No. We represent clients in Nashville and throughout Tennessee 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 Our Nashville Tennessee Securities Fraud Attorneys Today
If you’ve suffered investment losses due to fraud, negligence, or broker misconduct, call The White Law Group at 312-238-9650 for a free consultation.
To learn more about how we help investors nationwide, visit www.whitesecuritieslaw.com
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