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Atlanta Securities Litigation Attorneys

We represent parties in State and Federal securities litigation, securities fraud claims, stock manipulation issues, claims under the Georgia Racketeer Influenced and Corrupt Organizations Act (Georgia RICO), claims under the Federal Racketeer Influenced and Corrupt Organizations Act (Federal RICO), and claims under other State and Federal securities laws. We also represent parties in claims against financial advisors and investment brokers, such as claims of fraud, breach of fiduciary duty, churning, and appropriateness of the investment.

Financial Fraud, Conversion, and Breach of Fiduciary Duty

Securities litigation is highly complex and can ruin the reputation of the alleged wrongdoer, lead to criminal prosecution, and result in a considerable award of damages to plaintiffs, including treble damages (damages multiplied by three) for RICO claims, punitive damages, and the plaintiffs’ attorney fees and other litigation expenses. We are experienced in high-stakes, complex securities litigation, such as litigation involving death spiral schemes, toxic convertible financing, fraudulent reporting of inflated revenue, multi-tiered offshore structures used to conceal fraud and avoid liability, and other fraudulent schemes. Our clients include investors, victims of organized crime, companies accused of violations, officers and directors, and others.

For more information from the Georgia securities litigation attorneys of Schklar & Heim, LLC regarding issues that may affect you, please see the below topics:

If you are in need of experienced legal representation for a securities or stockholder issue, contact our office today at (404) 888-0100 or info@atlantalawfirm.net.