Representing investors who have been the victims of securities fraud, investment fraud, or stockbroker misconduct. The Kueser Law Firm is a boutique legal practice that is committed to vigorously representing its clients. The firm's focus is on protecting the rights of investors and recovering investment losses for victims of securities fraud, investment fraud, and other stockbroker misconduct.
The Kueser Law Firm is experienced in representing clients in FINRA arbitration. The firm's principal attorney, Jason M. Kueser, is a former financial adviser and has represented individuals, groups, and companies in securities arbitration and litigation and has also represented consumers and investors in class action litigation. He has recovered millions of dollars on behalf of his clients.
The Kueser Law Firm also provides representation and legal services in a variety of other practice areas. In addition to representing clients in securities arbitration and litigation, The Kueser Law Firm also provides representation in consumer fraud and commercial litigation, as well as financial industry employment and regulatory disputes.
The Kueser Law Firm is experienced in representing clients in FINRA arbitration. The firm's principal attorney, Jason M. Kueser, is a former financial adviser and has represented individuals, groups, and companies in securities arbitration and litigation and has also represented consumers and investors in class action litigation. He has recovered millions of dollars on behalf of his clients.
The Kueser Law Firm also provides representation and legal services in a variety of other practice areas. In addition to representing clients in securities arbitration and litigation, The Kueser Law Firm also provides representation in consumer fraud and commercial litigation, as well as financial industry employment and regulatory disputes.
Services
Jason M. Kueser has focused his practice on helping clients in a variety of matters.
These include securities and investment related cases, and consumer fraud and civil litigation, including class actions.
Additionally, Jason works with startups and small business on various matters.
Likewise, he also provides estate planning services to his clients.
Before attending law school, Jason worked extensively in the financial services industry.
Specifically, he worked as a Registered Representative and Investment Advisor Representative of a financial planning firm, and as an accountant for a mutual fund company.
These include securities and investment related cases, and consumer fraud and civil litigation, including class actions.
Additionally, Jason works with startups and small business on various matters.
Likewise, he also provides estate planning services to his clients.
Before attending law school, Jason worked extensively in the financial services industry.
Specifically, he worked as a Registered Representative and Investment Advisor Representative of a financial planning firm, and as an accountant for a mutual fund company.
The Kueser Law Firm focuses its practice on representing individuals, groups, and companies in securities arbitration and litigation.
The Kueser Law Firm represents stockbrokers and financial advisors in helping professionals remove unwarranted complaints from their regulatory record.
The Kueser Law Firm represents stockbrokers and financial advisors in cases involving promissory notes and other employment related matters, as well as regulatory matters.
The Kueser Law Firm assists clients in evaluating the performance of their investments and/or their financial advisor.
The Kueser Law Firm represents stockbrokers and financial advisors in helping professionals remove unwarranted complaints from their regulatory record.
The Kueser Law Firm represents stockbrokers and financial advisors in cases involving promissory notes and other employment related matters, as well as regulatory matters.
The Kueser Law Firm assists clients in evaluating the performance of their investments and/or their financial advisor.
The Kueser Law Firm focuses on representing individuals, groups, and companies in securities arbitration and litigation.
The firm is dedicated to helping investors recover losses from securities fraud, investment fraud, and other stockbroker misconduct.
Investors can recover losses due to the conduct of their stockbroker or financial advisor.
Many investors are not aware that their stockbroker or investment adviser may be legally responsible for their investment losses.
However, the law in this area is nuanced.
The firm is dedicated to helping investors recover losses from securities fraud, investment fraud, and other stockbroker misconduct.
Investors can recover losses due to the conduct of their stockbroker or financial advisor.
Many investors are not aware that their stockbroker or investment adviser may be legally responsible for their investment losses.
However, the law in this area is nuanced.
The Kueser Law Firm is a financial advisor lawyer representing stockbrokers, registered representatives, and other financial services professionals.
The firm represents clients in employment disputes, including cases involving forgivable promissory notes.
In addition, the firm's financial advisor lawyer represents clients in regulatory matters and customer cases in FINRA arbitration.
Are You a Stockbroker, Financial Advisor, and Other Financial Services Representative?
Are You Involved in a Dispute With Your Current or Former Employer about Your Employment or a Promissory Note?.
The firm represents clients in employment disputes, including cases involving forgivable promissory notes.
In addition, the firm's financial advisor lawyer represents clients in regulatory matters and customer cases in FINRA arbitration.
Are You a Stockbroker, Financial Advisor, and Other Financial Services Representative?
Are You Involved in a Dispute With Your Current or Former Employer about Your Employment or a Promissory Note?.
The Kueser Law Firm represents brokers and financial advisors in FINRA expungement cases involving complaints reported on their U4 or U5.
Stockbrokers and Financial Advisors Can Remove Customer Complaints from Their Permanent Record Through the FINRA Expungement Process.
Customer complaints against stockbrokers and financial advisors are serious.
Whether or not a customer substantiates or proves their complaint, it can have a big impact.
In the financial services industry, the CRD records complaints on a stockbroker or financial advisor's permanent record.
Stockbrokers and Financial Advisors Can Remove Customer Complaints from Their Permanent Record Through the FINRA Expungement Process.
Customer complaints against stockbrokers and financial advisors are serious.
Whether or not a customer substantiates or proves their complaint, it can have a big impact.
In the financial services industry, the CRD records complaints on a stockbroker or financial advisor's permanent record.
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