Michigan Securities Law


Have you been affected by life insurance fraud, annuities, or securities fraud? If you have been sold an underperforming life insurance policy or annuinty, or if you have been mis-lead about any material facts for securities, the law firm of Christopher Trainor & Associates can help. The trading volume of securities and commodities in US markets has increased significantly in recent years. As a result, incidents of securities fraud have increased as well. Those who have been involved with or been affected by securities fraud need the proper legal counsel to ensure that they can protect or regain their assets. Our Michigan securities fraud attorneys have the knowledge and experience to protect your rights from being taken advantage of.

Common Types of Securities Fraud:
  • Negligent Investment
  • Investment Misrepresentation
  • Insider Trading
  • Providing False Information
  • Improper Executions Claims
  • Broker Churning
  • Breach of Fiduciary Duty
  • Securities fraud is a problem that affects many investors around the country. Securities fraud is often committed by brokers, dealers, financial advisors, financial analysts, corporations, or even private investors. Yet, securities fraud does not only affect investors and high ranking business people. Often, employees can become victims of securities fraud.

    Many employees invest in company 401(k) plans and company stock. If a corporation is involved in fraud, employees are often the most victimized. For example, employees of Enron, a corporation involved in a recent securities fraud scandal, were left without many of their assets and investments. Has securities fraud affected you? The proper legal counsel can help!




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