Investment Litigation

Ohio Investment Litigation Attorney

You work hard all your life to save money for a comfortable retirement. Then, thanks to the work of a careless investment advisor, your retirement funds dwindle or disappear along with your dreams for your retirement.

Don't let the carelessness or greed of a securities broker, insurance agent, or investment advisor rob you of your life's savings. Contact an Ohio investment litigation attorney at Hill Hardman Oldfield, LLC today for a free and confidential consultation and case evaluation.

Our Akron law firm represents victims of all types of securities stockbroker misconduct and fraud, including:

  • Breach of fiduciary duty
  • Securities broker churning
    • (excessive trading to generate commissions)
  • Unsuitable investments
  • Failure to follow instructions
  • Misappropriation of funds
  • Variable annuity abuses
  • Failure to inform client of investment risks

Our attorneys handle cases of financial misconduct by investment advisors and others with a fiduciary duty, such as the trustee of a trust fund or administrator of a pension plan.

Don't be embarrassed or ashamed that you have been swindled out of your savings. Today's financial markets and products are so complex they are extremely difficult for anyone outside of the securities industry to fully understand. In fact, many people don't realize something improper has happened until they are notified by their accountant or banker.

Contact a stockbroker misconduct lawyer at Hill Hardman Oldfield, LLC today for a free consultation and case evaluation. You can rely on our skills and experience to get results for you.


1 Cascade Plaza, Suite 2000
Akron, OH 44308
PH: (330) 253-4000
FAX: (330) 253-3840