Financial Fraud

Christian Sande LLC relentlessly represents investors, retirees and investment funds that are victims of stock broker fraud, incompetence, negligence, and the mishandling of their investment funds.

As individual investors shoulder increasing responsibility over their retirement funds, they face significant challenges and legal requirements to protect their investments. Investment options and avenues are countless, leaving even the most prudent investor vulnerable.

Financial fraud encompasses a broad area covering investment losses due to unsuitable recommendations, conflicts of interest, inexperience and inscrutable actions of investment advisors (brokers) and their employers (broker-dealers).

Christian Sande LLC aggressively represents clients and investment funds in financial fraud cases before the Financial Industry Regulatory Authority (FINRA) and in state and federal court, including the following areas:

  • Fixed and variable annuities
  • Variable universal life insurance
  • Stocks and mutual funds
  • Inverse and leveraged exchange traded funds (ETF's)
  • Foreign currency trading
  • Ponzi schemes and criminal financial fraud