Engstrom, Lipscomb & Lack has experience representing victims of illegal and unethical practices by financial advisors and securities brokers. The lawyers in our securities litigation division have become recognized throughout Southern California for our capacity to handle all complexities of securities fraud cases, from the simplest two-party disputes to the largest, most complex and sophisticated multi-party litigation. If you are an investor who has suffered financial losses because of negligence, breach of contract, fraud or misappropriation on the part of an investment professional, our firm is ready to help you fight to protect your financial interests. Contact our offices to discuss the specifics of your case and we will provide an honest assessment of whether you have a valid cause of action.
We handle securities litigation cases
on a contingency basis and offer free consultations.
At the law offices of Engstrom, Lipscomb & Lack, clients find a commitment to excellence and a dedication to perseverance and obtaining results. We offer a full range of securities litigation services for plaintiffs suffering financial losses resulting from:
» Unsuitability of Investments
» Antitrust Violations
» Investment Churning
You have a right to expect professional, knowledgeable and accurate investment advice from licensed investment brokers. If you have suffered significant financial harm, there may be legal options available to recover damages.