The FBI has estimated securities fraud losses in excess of $40 billion per year … don’t be part of this statistic. Sullivan Hincks & Conway has the experience to represent you in your securities-related litigation. We can help you with stockbroker fraud, financial advisor fraud, unsuitable investment recommendations, excessive trading/churning, unauthorized trading, and breach of fiduciary duty. We are well-versed in Financial Industry Regulation Authority (FINRA) arbitrations, with our goal to recover as much of your damages as possible.