Securities and Investment Fraud Attorneys
Dedicated to Fighting for Investor Rights Nationwide.
Kons Law Firm is a securities and investment litigation firm dedicated to representing investors nationwide in securities litigation and FINRA arbitration matters. When you have lost money with your financial advisor or stockbroker or in an investment fraud, you need someone who cares about your recovery. That’s why we are here.
We bring claims against brokerage firms, financial advisors, investment advisory firms, and other third-party financial services firms to pursue recovery. With more than 15 years of securities and investment litigation experience handling cases like yours, we can anticipate what’s next and keep you informed throughout the process.
If you hire us, you will always work directly with a securities attorney who knows the ins and outs of your case, and you will never be left in the dark about your case. We’ll be with you every step of the way. Contact us to discover why our firm is the right choice for you.
$30+ Million
Recovered500+
Cases98%
Success RateOur Results Speak for Themselves
What Our Clients Say
Cases Our Investment Fraud Lawyers Handle
Investment Fraud
Our firm represents investors in securities and investment fraud litigation and arbitration nationwide.
Breach of Fiduciary Duty
We prosecute breach of fiduciary duty claims against financial advisors and their firms.
Unsuitable Investments
Recovery for unsuitable investment recommendations or strategies.
Ponzi Schemes
Pursuing recovery for Ponzi scheme victims against financial advisors and other third-party professionals or firms.
Alternative Investments
We help investors bring claims against brokerage firms for sales of alternative investments.
Annuities
We pursue claims against financial advisors and insurance companies for investors who lost money investing in annuities.
Private Placements
We represent investors who lost money in private placement (Reg. D) investments.
REITs
We help recover money for investors who suffered losses in illiquid, non-traded Real Estate Investment Trusts (REITs).
BDCs
Our attorneys bring investor claims against brokerage firms for losses involving Business Development Companies (BDCs).
Options
Our firm pursues claims against financial advisors and brokerage firms for investment losses from options trading.
Structured Products
We help investors recovery losses in structured investment products or structured CDs.
Life Insurance
Our firm pursues recovery for investors in life insurance disputes, including those involving premium financing.
Promissory Notes
We recover money for investors purchasing promissory notes.
Elder Abuse
Our firm helps families and the elderly with cases involving financial elder abuse by a financial advisor or third-party agent.
Broker Theft
We help pursue financial advisor or broker theft losses against brokerage firms or other third-party financial institutions.
Conservation Easements
Our firm pursues conservation easement losses against financial advisors and other third-party professionals.
Oil & Gas Partnerships
We pursue recovery of losses for investors who invested in oil and gas partnerships or master limited partnerships (MLPs).
Precious Metals
We help victims of investment schemes involving precious metals, gemstones, jewelry, art, collectibles, NFTs, or other non-conventional investments.
Failure to Diversify
We pursue claims of involving the failure to diversify an investment portfolio (also known as overconcentration).
Financial Advisor Negligence
Our attorneys pursue losses stemming from financial advisor negligence.
Excessive or Unauthorized Trading
We pursue losses related to excessive trading (churning), or unauthorized trading.
Penny Stocks
Our attorneys pursue losses related to penny stocks, "pump and dump" schemes, and other stock fraud.
Pyramid Schemes
We represent victims of illegal pyramid and multi-level marketing schemes.
Wire and Check Fraud
We help victims of wire fraud or check fraud pursue recovery of their losses.