Have you suffered significant financial loss from securities fraud? You are not alone. The important thing to realize is that there may be something that you can do about it. The Manhattan and Northport law offices of Timothy J. Dennin, P.C., can represent you in securities class action litigation and securities arbitration.
Justice matters — Free initial consultation — Call us at 866-437-9475
When There Is A Breach Of Fiduciary Duty, You Have Rights
Board of directors of publicly traded companies, stockbrokers, brokerage houses and financial investment advisers have a responsibility to keep their shareholders’ and clients’ interests as the top priority in all investments. If investors who invested with a specific company or in a specific fund suffered from breach of fiduciary duty by a company’s board of directors, broker or adviser misconduct, there may be a basis for a class action suit.
An experienced lawyer can help you understand whether the issues or violations that you have encountered are actionable under a class action suit and whether he believes he can recover money through filing a claim.
“I am on the side of the law, the side of justice. It gives me satisfaction going up against the big guys and making them redress wrongs they have done to individuals.” — Timothy J. Dennin.
Securities Class Action Litigation Attorney Whose Work Has Attracted National Attention
Our founder, Timothy J. Dennin, has earned national recognition and been featured in The Wall Street Journal, Forbes Magazine, CNBC, Newsweek, The New York Times, InvestmentNews, Bloomberg News and other media sources for his securities litigation representation and securities arbitration experience.
His keen intelligence, deep experience and tenacious focus come into play as he files class action claims to hold parties responsible for corporate malfeasance, accountant malpractice, broker malfeasance, stock fraud and financial adviser betrayal of trust for his private investor clients in cases that involve securities fraud class action issues.
A class action claim we handled against the Regina Company was settled for more than $7 million in 1992. Since that time, we have been counsel for various securities class action cases involving market manipulation of initial public offerings, as well as misrepresentations regarding limited partnerships and shareholder derivative claims. These cases have resulted in hundreds of millions of dollars in settlements for our clients.