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Securities fraud, also referred to as stock or investment fraud, is a type of serious white-collar crime that can be committed in a variety of forms but primarily involves misrepresenting information investors use to make decisions. The perpetrator of the fraud can be an individual, such as a stockbroker. Or, it can be an organization, such as a brokerage firm, corporation, or investment bank. Independent individuals might also commit this type of fraud through schemes such as insider trading.
“Securities Fraud” covers a wide range of illegal activities, all of which involve the deception of investors or the manipulation of financial markets. These securities fraud activities can include:
If you believe that you may have been a victim of securities fraud or have witnessed securities fraud, hire a fraud attorney now.
We are committed to obtaining justice for you. We pride ourselves on delivering exceptional legal services to our clients.
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