At the Law Offices of Robert Wayne Pearce, P.A., we help investors recover their losses in Clearwater and throughout Florida. With over 45 years of experience pursuing financial wrongdoing and $175 million recovered for clients, our firm stands ready to protect your assets and hold the responsible parties accountable.
Whether your case involves fraudulent advice, unauthorized trading, or other forms of securities misconduct, we’ll strive to secure the best possible outcome for you.
How Our Clearwater Investment Fraud Attorneys Can Help You
Our law firm has advocated for investors since 1980. We handle a variety of claims, including:
- Fraud and Misrepresentation
- Churning
- Unauthorized trading
- Ponzi schemes
- Stockbroker fraud
- Selling away
- REIT disputes
- And many others (click here for all case types our firm handles)
We guide you through every step, from investigating broker misconduct to seeking arbitration or litigation. Our experience spans diverse securities fraud matters.
Clearwater Investors Should Consult with Our Securities Fraud Lawyers
We deeply understand Florida’s regulations and the challenges facing local investors. If you believe you’ve experienced investment-related misconduct, reach out for a free consultation.
Around this area, investment portfolios can be significant and require careful oversight, including in:
- Sand Key – A serene barrier island known for its gorgeous beaches and resort vibe.
- Island Estates – A waterfront community close to the Intracoastal Waterway.
- Countryside – Suburban locale featuring golf courses and family-friendly amenities.
- Feather Sound – Well-established enclave near the bay.
- Belleair – Just south of Clearwater, offering a historic country club and coastal charm.
Local Brokers Who’ve Resulted in Client Losses
We keep tabs on Clearwater stockbrokers and advisors by reviewing their FINRA BrokerCheck records for complaints. We’ve also posted blogs about our findings, including these individuals:
- Hagin Richeson of Corinthian Partners, LLC
- Paul Weinberger of Cetera Financial Specialists LLC
- Tarek Mohamed of Bankers Life Securities, Inc.
- Paz Chandra of Royal Alliance Associates, Inc.
- Mark Hein formerly with Morgan Stanley
- Dale Emerick of UBS Financial Services Inc.
- Curtis Yourkievitz of J.W. Cole Financial, Inc.
- Thomas Meachum of Merrill Lynch Pierce Fenner & Smith
- Roger Bedillion of Lion Street Financial, LLC
If you’ve worked with any of these brokers and have concerns, call us at 800-732-2889 or complete our online form for a free consultation.
Our Tailored Approach to Your Case
Every investment dispute demands close investigation. Our lawyers craft a plan specific to your situation, relying on deep knowledge of securities regulations. We’ll pursue every avenue to help you recover what you’ve lost.
Contact Our Clearwater Investment Fraud and Securities Arbitration Attorneys Today
Don’t let unscrupulous practices erode your financial stability. At the Law Offices of Robert Wayne Pearce, P.A., we have the experience to safeguard your interests.
With over 45 years of experience in securities matters, we focus on complex laws designed to protect investors.
Our team has recovered in excess of $175 million for clients and built a reputation for fighting relentlessly on behalf of those who have been wronged.
Call our office today at (800) 732-2889 or use our free contact form on the right to discuss your potential case. There is no obligation, and the process is quick and confidential.
Whether you reside in Sand Key or Belleair, we stand ready to advocate for your rights.