The Law Office of David Liebrader

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About this firm

The Law Office of David Liebrader epitomizes unwavering support for victims of investment fraud across the United States. For 30 years, our steadfast commitment has revolved around fiercely advocating for the rights of investors in state and federal courts throughout the country.

Our attorneys hold licenses to practice law in Nevada and California, affording representation in all courts within these states. Moreover, we represent investors in nationwide FINRA arbitrations, governed by the Federal Arbitration Act's provisions. We have successfully represented clients in 45 out of the 50 states, a testament to our dedication to safeguarding investor rights.

Our nationwide practice has allowed us to forge vital connections with local attorneys and experts, a strategic alliance that gives us access to local insights on arbitrators, jurors, or judges relevant to individual cases. While variations exist, most states have adopted the Uniform Securities Act. This statute regulates securities registration, representative licensing, and remedies for victims of investment fraud, forming the core of our caseload. State Securities Act claims involve misrepresentations, omissions in securities sales, breach of fiduciary duty, negligence, suitability violations, sales of unregistered securities, churning, and fraud.

At The Law Office of David Liebrader, we present investors with competitive fee structures, including options for hourly or contingency-based arrangements. Our rates are adaptable based on the case resolution timing—whether within six months of filing, before trial or arbitration, or following the hearing or trial on the merits. We offer clients a free, confidential consultation, providing comprehensive information to allow clients to make a well-informed decision concerning their claims.

Areas of Practice (17)

  • Breach of Fiduciary Duty
  • Churning Excessive Trading
  • Due Diligence 'Kicking the Tires' on an Investment
  • Duty to Supervise
  • FINRA Rule 2111
  • IRA Custodians
  • Leveraged ETFs
  • Penny Stocks
  • Ponzi Schemes
  • Promissory Notes
  • REITs and TICs
  • Self Directed IRAs
  • Selling Away aka Outside Business Activities
  • Suitability
  • The Investment Loss Recovery Process
  • Securities Fraud
  • Investments

People (1)

Securities Fraud, Investments, ponzi scheme, promissory note, FINRA attorney, Securities Attorney View More

Peer Reviews

4.8/5.0 (4 reviews)
  • Legal Knowledge

    4.8/5.0
  • Analytical Capability

    4.8/5.0
  • Judgment

    4.8/5.0
  • Communication

    4.8/5.0
  • Legal Experience

    4.8/5.0
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