About the Business

The Guiliano Law Firm, P.C., the securities fraud lawyer specialized in recovering investment losses caused by faulty investment advice. We have years of experience representing investors in FINRA arbitrations across the US. We nationally represent individual and institutional investors for fraud, the sale of defective financial products, the sale of unsuitable investments, breach of fiduciary duty, stockbroker fraud, and other forms of misconduct against brokerage firms, their agents, and other investment professionals. If you believe that you may be the victim of investment fraud or stockbroker misconduct, please contact us for a free, confidential evaluation of your claims.

We also have experience in FINRA Arbitration and the litigation of securities related matters, both in state and federal court, including the litigation of securities class actions against issuers in open market fraud actions, and shareholder derivative actions against issuers and their officers and directors for the violation of the federal securities laws and state corporate law.

The Guiliano Law Firm, P.C., the investment fraud lawyers are experienced in recovering investment losses caused by defective investment advice and the sale of defective financial products. We have decades of experience representing investors in court and in FINRA arbitrations throughout the country.  If you believe that you may be the victim of investment fraud or stockbroker misconduct, please contact us for a free, confidential evaluation of your claims.