Lost Money After Trusting a Financial Advisor?

Request a Free Investment Loss Case Review

Former Broker & Investment Adviser. Now Representing Investors.
Speak Directly With Attorney Glenn Mazer
Alabama & Nationwide • No Fee Unless We Recover for You.

No Obligation. No Pressure. Just an Honest Evaluation.

Name

Investment Loss Cases We Handle

Mazer Law Firm represents investors harmed by broker and financial-advisor misconduct, including:

  • Unsuitable investment recommendations
  • Investment fraud and misrepresentation
  • Private placements and non-traded REITs
  • Annuity and insurance sales misconduct
  • Overconcentration and excessive risk
  • Elder financial exploitation
  • Brokerage-firm failure to supervise
  • Retirement account investment losses

Former Broker & Investment Adviser. Now Representing Investors.

Attorney Glenn Mazer previously worked in the financial-services industry as a broker and investment adviser. That experience provides a practical understanding of how investments are recommended, sold, supervised, and sometimes misrepresented.

Today, he represents investors seeking to recover losses caused by financial professionals and firms.

FINRA Arbitration & Investment Loss Claims

Many disputes involving brokers and brokerage firms are handled through FINRA arbitration. Mazer Law Firm represents investors in claims involving unsuitable recommendations, misrepresentation, failure to supervise, excessive risk, and other forms of broker misconduct.

The firm represents investors in Alabama and nationwide.

Speak Directly With Attorney Glenn Mazer

You will speak directly with the attorney evaluating and handling your claim.

Call (205) 644-3744

Free Case Evaluation • No Fee Unless We Recover for You.