wins $11.5 million
against Morgan
Stanley, as reported
in Barrons
10-Year Anniversary - 2014 - 2024
Celebrating a Decade of Excellence: Ten Years of
Championing Investor Rights!
Savage Villoch Law, PLLC, has been helping investors recover their investment losses for 10 years, with a recent victory of over $15.4 million against one of the largest stock brokerage firms. We successfully recovered the investments of a retired couple by proving that, due to an individual broker’s acts, the brokerage firm was responsible for these extraordinary losses.
Our Florida-based group of dedicated attorneys, paralegals, and legal assistants diligently represent investors who have suffered stock losses or other investment loss. Our team has decades of experience representing investors who have suffered significant stock, bonds, variable annuities, indexed universal life insurance (“IUL”), private placements, and losses in many other types of investments.
Each of Savage Villoch Law’s reputable and respected Florida securities fraud lawyers are available to represent clients who have suffered investment loss throughout the United States, Puerto Rico, and most countries. If you or a loved one has suffered investment losses after entrusting your assets to a stock brokerage or registered investment advisor, Savage Villoch Law, PLLC, will work to help you recover. Our securities fraud lawyers are ready, willing, and able to help clients, no matter where you live, to recover investment losses due to fraud, negligence, and other causes of action.
We are Florida securities fraud lawyers, but regardless of where you live, turn to us to help you stand up for your rights against your stockbroker or investment advisor.
Securities fraud attorney, Bert Savage, is a former securities industry regulator, having worked in New York City’s financial district with the stock market’s regulatory agency now known as FINRA. He earned his MBA and law degree at the University of Florida, ranked as a Top 25 law school in the nation and a Top 5 graduate business school. He was a founding partner and general counsel of a stock brokerage firm that grew to have offices in many states. Through this, he learned the stock brokerage business from the inside. In 2004, Bert founded this practice and has used his skill and knowledge of the brokerage industry to help investors recover their losses. While continuing his practice, Bert also worked as a law school professor. He educated law students in securities and investment loss issues, training them to become attorneys that are able to help investors recover their financial losses. Bert has been cited in news publications and presented at national law conferences on securities loss related matters.
Bert understands the complexities of the financial issues faced by our clients as well as how stock brokerage firms operate. Bert now uses his education, experience, and insights to represent individual investors who have suffered financial losses at the hands of their financial adviser or stockbroker.
Alfred Villoch, III, after graduating from Penn State Law, developed his outstanding litigation skills working at large national firms representing clients of all types. His commitment to our clients and insight to righting the wrongs of brokerage firms and investment advisors has yielded strong positive outcomes. Alfred’s dedicated representation of the firm’s investment loss clients is invaluable to our continuing efforts help investors recover their losses due to stockbroker negligence or fraud.
Brenda Combs graduated from the University of Florida’s law school where she shined as an outstanding attorney in training. After passing the bar, her exceptional attorney skills became immediately apparent, and Brenda has worked for decades forcefully fighting for her clients with terrific results. Brenda’s litigation and analytical skills have helped many clients recover damages from stockbrokerage firms across the country.
Are you concerned about securities fraud or negligence associated with a financial loss? Do you think you adviser or broker might have been at fault? It is important to have an experienced law firm on your side that focuses on representing investors. Brokerage firms often have big law firms handle their legal defense, so investors like you should hire experienced securities fraud lawyers to go head to head with even the largest brokerage firms and banks. Call us at 813-200-0013 or use our online form to set up a consultation. You’ll get to talk to an experienced securities loss attorney to discuss your case. Don’t delay!
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