Holding Responsible Parties Accountable

When you invest in the stock market, there is always some level of risk involved. That risk grows significantly when other individuals, including corporate executives and investment professionals, commit fraudulent actions that affect the market or your understanding of the risks of an investment.

The Costello Law Group, a securities law firm based in Towson, Maryland, is focused on providing dedicated legal representation with attentive, personal service in cases involving stock fraud. Their knowledgeable securities lawyers help investors protect their rights and their money by holding responsible parties accountable for the losses associated with investment fraud.

A Committed Advocate For Investors Injured By Stock Market Fraud

Investment fraud can take many forms and is often difficult to detect among normal market activities. The Costello Law Group advocates on behalf of investors in cases involving:

  • Insider trading
  • Junk bonds
  • Misrepresentation of investments
  • Preferred shares
  • Selling away
  • Hedge fund fraud
  • Pump and dump schemes
  • Sarbanes-Oxley violations

Losing your retirement, savings or simply your hard-earned money in the stock market can be devastating to your family's finances. The Costello Law Group understands how difficult these situations can be, which is why they work closely with clients to gather the information necessary to build a successful case for mediation or arbitration before the Financial Industry Regulatory Authority (FINRA) or litigation in state or federal court.

Fighting For Clients Nationwide

Schedule a free initial consultation to discuss your concerns with an experienced investment fraud attorney. You can reach the Costello Law Group by sending an online message or by calling 410-832-8800/toll-free 877-418-0003.