Brokerage Firms
Our law firm represents institutional and individual investors nationwide in claims against financial and securities brokerage firms.
Since 1990, Shepherd, Smith and Edwards has represented thousands of institutional and individual investors nationwide in claims against hundreds of financial firms. Our attorneys, staff and consultants have over 100 years of combined legal experience and, collectively, also worked more than 100 years in the securities industry. We are therefore uniquely qualified to represent clients in all localities in claims against financial firms. For a free consultation to discuss whether we can assist you to recover investment losses contact us.
On behalf of our clients, our lawyers have filed claims against financial firms for fraud, negligence and a variety of other wrongful actions. After an attorney has assessed a client's experiences at a financial firm and decided that action is warranted, a claim is then filed in arbitration or in court. Each lawyer has a team to work closely with our clients and guide them through the process.
Listed below are some of the hundreds of investment firms we have filed claims agianst on behalf of our clients. Through each of these is provided a firm profile and additional information about that firm. Also available is access to an alphabetical listing of every firm licensed to sell securities in the U.S.
AIG SunAmerica
AG Edwards & Sons
Ameriprise Financial - American Express Financial Advisors
AXA Advisors - AXA Financial
Banc of America Securities - Bank of America
Bear Stearns - Bear Stearns Clearing Corporation
Brookstreet Securities Corporation (Brookstreet en espanol)
Citigroup - CitiCorp - Smith Barney
Deutsche Bank - Alex Brown
Edward Jones - Edward D. Jones
Farmers Financial Solutions - Farmers Insurance
GunnAllen Financial, Inc.
H&R Block Financial Advisors
Jefferies & Company
JP Morgan Chase - Banc One Securities
Linsco/Private Ledger (LPL) - LPL Financial Services
MetLife Securities, Inc.
Merrill Lynch - Merrill Lynch Pierce Fenner and Smith
Morgan Keegan & Co. - Regions Financial Corp.
Morgan Stanley - Dean Witter
Oppenhiemer & Company - CIBC Oppenheimer
Pacific Life Securities Subsidiaries
Raymond James & Associates - Raymond James Financial Services
RBC Dain Rauscher
Southwest Securities - SWS Group, Inc.
Securities America
UBS - UBS/PaineWebber
Wachovia Securities - Prudential Securities
Wedbush Morgan Securities
ADDITIONAL INVESTMENT FIRMS ( A - M )
ADDITIONAL INVESTMENT FIRMS ( N - Z )
Available below alphabetically is a list of the name and address of each firm licensed by the National Association of Securities Dealers, Inc. (NASD) to sell securities in the United States, as of January 1, 2007.
A - B - C - D - E - F - G - H - I - J - K - L - M
N - O - P - Q - R - S - T - U - V - W - X - Y - Z
Since 1990, Shepherd, Smith and Edwards has represented thousands of institutional and individual investors nationwide in claims against hundreds of financial firms. Our attorneys, staff and consultants have over 100 years of combined legal experience and, collectively, also worked more than 100 years in the securities industry. We are therefore uniquely qualified to represent clients in all localities in claims against financial firms. For a free consultation to discuss whether we can assist you to recover investment losses contact us.
On behalf of our clients, our lawyers have filed claims against financial firms for fraud, negligence and a variety of other wrongful actions. After an attorney has assessed a client's experiences at a financial firm and decided that action is warranted, a claim is then filed in arbitration or in court. Each lawyer has a team to work closely with our clients and guide them through the process.
Listed below are some of the hundreds of investment firms we have filed claims agianst on behalf of our clients. Through each of these is provided a firm profile and additional information about that firm. Also available is access to an alphabetical listing of every firm licensed to sell securities in the U.S.
AIG SunAmerica
AG Edwards & Sons
Ameriprise Financial - American Express Financial Advisors
AXA Advisors - AXA Financial
Banc of America Securities - Bank of America
Bear Stearns - Bear Stearns Clearing Corporation
Brookstreet Securities Corporation (Brookstreet en espanol)
Citigroup - CitiCorp - Smith Barney
Deutsche Bank - Alex Brown
Edward Jones - Edward D. Jones
Farmers Financial Solutions - Farmers Insurance
GunnAllen Financial, Inc.
H&R Block Financial Advisors
Jefferies & Company
JP Morgan Chase - Banc One Securities
Linsco/Private Ledger (LPL) - LPL Financial Services
MetLife Securities, Inc.
Merrill Lynch - Merrill Lynch Pierce Fenner and Smith
Morgan Keegan & Co. - Regions Financial Corp.
Morgan Stanley - Dean Witter
Oppenhiemer & Company - CIBC Oppenheimer
Pacific Life Securities Subsidiaries
Raymond James & Associates - Raymond James Financial Services
RBC Dain Rauscher
Southwest Securities - SWS Group, Inc.
Securities America
UBS - UBS/PaineWebber
Wachovia Securities - Prudential Securities
Wedbush Morgan Securities
ADDITIONAL INVESTMENT FIRMS ( A - M )
ADDITIONAL INVESTMENT FIRMS ( N - Z )
Available below alphabetically is a list of the name and address of each firm licensed by the National Association of Securities Dealers, Inc. (NASD) to sell securities in the United States, as of January 1, 2007.
A - B - C - D - E - F - G - H - I - J - K - L - M
N - O - P - Q - R - S - T - U - V - W - X - Y - Z