The Frankowski Firm, LLC

Offers Video Calls | Open for Business
  • Established in 2013
  • Firm Size 1
  • Knowledgeable Securities Attorneys Helping Investors Victimized by Stockbroker Fraud
  • Profile Visibility [ i ]
    • #39,495 in weekly profile views out of 314,785 total law firms Overall
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About this firm

Fighting for clients who have been cheated out of their life savings due to stockbroker fraud and incompetence

Brokers and brokerage firms are supposed work for their investor clients – not the other way around. The wrongdoers should be held accountable when stockbrokers, supervisors and brokerage firms misrepresent the truth about the investments, omit important facts about the investments they recommend, and place their own interests ahead of their clients' interests. When brokers and firms scheme to take advantage of investors or act with negligence and a lack of integrity, the offender's fraud should be immediately stopped, the wrongdoers should be held financially liable for their wrongs and for their clients' losses, and future transgressions should be deterred.

Richard Frankowski, the founding partner of The Frankowski Firm, has been advocating for individual and institutional investors for over 25 years. Our firm's lawyers understand the complexities of state and federal securities laws. We also are intimately aware of the Financial Industry Regulatory Authority (FINRA) Rules that govern all aspects of the securities arbitration process. We represent clients before arbitration panels, in court, and in mediation. Our practice is dedicated to protecting investor rights and to correcting the wrongful conduct that damages our clients.

Our goal is to fight for the rights of investors and to hold financial brokers and entities liable for greed, malpractice, fraud, and negligence. The Frankowski Firm has a proven track record of obtaining large awards for financial injustice.

Areas of Practice (19)

  • Securities Arbitration
  • Investment Fraud
  • Securities Fraud
  • Securities Law
  • FINRA Arbitration
  • Simplified Arbitration
  • Broker Fraud
  • Breach of Fiduciary Duty
  • Churning
  • Ponzi Schemes
  • Annuity Fraud
  • Suitability Claims
  • Investment Law
  • Federal and state securities laws
  • Investor Rights
  • Securities
  • Finance
  • Financial Services Law
  • Commodities

People (1)

Securities Arbitration, Investment Fraud, Stockbroker Negligence, Securities Fraud, Shareholder Litigation, Broker Fraud, Consumer Class Actions, Securities View More

Peer Reviews

5.0/5.0 (23 reviews)
  • Legal Knowledge

    5.0/5.0
  • Analytical Capability

    5.0/5.0
  • Judgment

    5.0/5.0
  • Communication

    5.0/5.0
  • Legal Experience

    5.0/5.0
Peer reviews submitted prior to 2008 are not displayed.

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