The Guiliano Law Firm, P.C. is headquartered in Philadelphia, Pennsylvania. Our practice is limited to the representation of investors for fraud, the sale of unsuitable investments, breach of fiduciary duty, stockbroker fraud, and other forms of misconduct against brokerage firms, their agents, and other investment professionals.
We have represented more than 1,000 public customers before FINRA, the Financial Industry Regulatory Authority, formerly the NASD and the NYSE in securities arbitrations on behalf of injured investors in more than 38 states and internationally in cases against stockbrokers, brokerage firms, and investment professionals for fraud, the sale of unsuitable securities, breach of fiduciary duty, negligence, the failure to supervise, and the violation of state and federal securities laws.
Where permitted by law, the Guiliano Law Firm, represents clients on a contingent fee basis meaning that there is no cost or obligation to pay our legal fees unless we are able to make a recovery for you.
If you believe that you have been the victim of stockbroker fraud or misconduct, contact us for a free consultation.