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Securities Fraud Lawyers is
Shustak Frost & Partners, P.C. a boutique law firm with
a national practice focused in the areas of securities, corporate finance
and business law. The Firm and its securities attorneys represent investors,
corporations and other entities in connection with securities fraud arbitrations
and securities litigations throughout the country. The Firm operates from
offices in San Diego, California and New York City.
From inception, the Firm and its securities fraud attorneys have received the highest rating (AV) from Martindale-Hubbell, the nationally recognized publication that reviews and ranks lawyers and law firms. The Firm and its partners have been quoted in major business and financial periodicals including The New York Times, Wall Street Journal, Treasury and Risk Management, Corporate Financing Week, Capital Markets Analysts, The National Law Journal, Registered Representative and Legal Tech and its partners have been interviewed and featured by CBS, NBC, CNBC and other cable and radio channels.
The Firm and its partners have been routinely quoted in major business and financial
periodicals including The New York Times, Wall Street Journal, Treasury and Risk
Management, Corporate Financing Week, Capital Markets Analysts, The National
Law Journal, Registered Representative and Legal Tech and its partners have been
interviewed and featured by CBS, NBC, CNBC and other cable and radio channels.
The following is a partial listing of Securities Fraud Lawyers’ areas
of specialty:
NASD, NYSE and other Securities Arbitrations For Investors
By virtue of both contracts between customers and their brokerage
firms, and judicial interpretations, virtually all disputes between customers
and their brokers or brokerage firms must be resolved through mandatory
arbitration before the New York Stock Exchange (NYSE), The National Association
of Securities Dealers (NASD), The National Futures Association (NFA), the
American Arbitration Association (AAA) or one of the other, self-regulatory
organizations that govern the securities
industry.
The Firm regularly represents investors (including individuals, trusts, hedge
funds and other institutions) in claims against their brokers and brokerage firms
involving securities fraud; unsuitability; churning; failure to execute; unsuitability
and a myriad of other disputes that arise between the customer and the brokerage
firm industry. The Firm also represents a variety of brokerage firms and registered
persons in defending themselves against similar claims brought against them.
Federal and State Court Securities Litigations
The Firm represents individuals, corporations, partnerships and other business entities in both prosecuting and defending securities related lawsuits in the State and Federal Courts of California and New York and can assist in litigation in various other jurisdictions throughout the country. The Firm represents public as well as private corporations, foreign and domestic.
The Firm and its securities fraud attorneys are experienced in a wide range of
securities litigations involving public offerings; private placements; mergers
and acquisitions; broker dealer and investment advisor law; violations of Federal
and State securities laws and common law fraud.
Contact Us
If you have a legal matter in the areas in which we practice, we do not charge
for initial meetings or telephone conferences. Our clients are located throughout
the State, Country and abroad. We prefer to get to know our clients and fully
understand their needs and objectives before deciding if we can be of help to
them. If you have a business law problem or need, call or email our Managing
Partner, Erwin J. Shustak, Esq., and discuss your
situation with him.
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New
York Office
400 Park Avenue, 14th Floor
New York, NY 10022
tel: 212.688.5900
toll free: 800.496.5900
fax: 212.688.6151
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California
Office
401 West "A" Street, Suite 2330
San Diego, CA 92101
tel: 619.696.9500
toll free: 888.748.8748
fax: 619.615.5290 |
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