Greco & Greco, P.C., Securities Fraud Attorneys

Greco & Greco, P.C., Securities Fraud Attorneys
  • Established in 1994
  • Firm Size 2
  • Securities Fraud Lawyers, Stock and Securities Fraud Arbitration, Claims against Stockbrokers and Brokerage Firms, Investment Fraud, Unsuitable Investments, Churning, Ponzi Schemes
  • Peer Reviews
    4.9/5.0 (31)
  • Profile Visibility [ i ]

About this firm

Greco & Greco's lawyers have extensive experience representing investors in disputes with their stockbrokers, brokerage firms, financial planners, and investment advisors.

Our attorneys use this experience to vigorously pursue recovery of investors' losses caused by securities fraud, churning, lack of suitability, negligence, unauthorized trading, breach of fiduciary duty, theft/embezzlement, ponzi schemes, misstatements, and other misconduct. We represent clients in the Virginia, Maryland, and Washington, D.C. area, as well as nationwide.

If you believe that you may have a claim, please contact us for a free consultation. We represent many of our clients on a contingency fee.

Greco & Greco, P.C. also maintains the site and our blog,

Practice & Industry Groups

Specific Practice Area and Industry Group Details across multiple offices:

Areas of Practice (36)

Specific Practice Area and Industry Group Details across multiple offices:

  • Securities Fraud
  • Stock Fraud
  • Claims Against Stockbrokers
  • Brokerage Firms
  • FINRA Arbitration
  • NASD Securities Arbitration
  • Unsuitable Investments
  • Churning
  • Broker Theft
  • Breach of Fiduciary Duty
  • Hedge Funds
  • Securities
  • Investors Rights
  • Ponzi Schemes
  • Securities Litigation
  • Civil Litigation
  • Civil Fraud
  • Fraud
  • Negligence
  • Financial Law
  • Bank Fraud
  • Securities Law
  • Blue Sky Law
  • Broker-Dealer Arbitration
  • Private Placement
  • Mortgage Backed Securities
  • Securities Arbitration
  • SEC Whistleblower
  • Securities Fraud Whistleblower
  • Securities Consumer Arbitration
  • Securities Fraud Arbitration
  • Securities Investor Protection Act
  • Commission Disputes
  • Claims by Stockbrokers Against Employers
  • Discrimination Claims Against Brokerage Firms

People (2)

Peer Reviews

  • 4.9/5.0 (31 reviews)
  • Legal Knowledge

  • Analytical Capability

  • Judgment

  • Communication

  • Legal Experience


See All 31 Reviews »

*Attorneys who only have peer reviews prior to April 15, 2008 are not displayed.

Documents (1)

Documents by this Organization on

Bar Registry

  • Securities Law

Locations (1)

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