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  • Dist. of Columbia Securities and Investment Fraud Lawyers

    This is page 57 for investment fraud attorneys in Dist. of Columbia. Compare 1,230 investment fraud lawyers near you. Gain insight from reviews to make a well-informed decision, and get in touch with them directly.

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    Dist. of Columbia Has 1230 Securities and Investment Fraud Attorneys with 134 Reviews

    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 15 years
    Practice Areas:  Securities & Investment Fraud, International Law, Arbitration and more
    Bio: Ricardo Ampudia represents clients in a wide variety of international disputes, including investor-State, commercial, and State-State arbitration, as well as litigation in matters pertaining to securities, international trade, international human ...
    Not yet reviewedReview Michael
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 12 years
    Practice Areas:  Antitrust and Trade Law, Health Care, Corporate and Incorporation and more

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    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 53 years
    Practice Areas:  Securities & Investment Fraud, Debt Settlement, Bankruptcy & Debt and more
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 15 years
    Practice Areas:  Criminal Defense, Securities and Investment Fraud, Life Sciences and Biotechnology and more
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 17 years
    Practice Areas:  Securities & Investment Fraud, White Collar Crime, Litigation and more
    Robert Haymes Cox

    PRO

    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 34 years
    Practice Areas:  Securities & Investment Fraud, White Collar Crime, Litigation and more
    Bio: Bob Cox is a trial attorney with over two decades of experience litigating all types of business cases in courts across the nation. Mr. Cox’s experience covers a wide range of matters involving securities, business torts, contracts, antitrust, int...
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 57 years
    Practice Areas:  Securities & Investment Fraud, Financial Markets and Services, Lawsuits & Disputes
    Bio: Martindale-Hubbell, a Lexis-Nexis Company, peer review rating of AV Preeminent for last 25 years, the "Pinnacle of Professional Excellance". What makes our firm different? We painstakingly examine every case from every perspective and seek only a ...
    Not yet reviewedReview Elizabeth Attention
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 19 years
    Practice Areas:  Corporate and Incorporation, Securities and Investment Fraud, General Practice
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 23 years
    Practice Areas:  Securities & Investment Fraud, Appeals, Litigation and more
    Bio: I am an attorney who litigates cases.
    Not yet reviewedReview Michael
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 48 years
    Practice Areas:  Ethics and Professional Responsibility, Class Action, Securities and Investment Fraud
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 26 years
    Practice Areas:  Securities & Investment Fraud, White Collar Crime, Antitrust & Trade Law
    W Scott Greco

    PRO

    Not yet reviewedReview W
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 31 years
    Practice Areas:  Securities & Investment Fraud, Arbitration, Employment & Labor and more
    Bio: W. Scott Greco represents investors against financial advisors, stock brokers, and investment firms in cases involving securities fraud, unsuitable recommendations, churning, breach of fiduciary duty, negligence, theft, and other wrongful conduct.
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 21 years
    Practice Areas:  Securities and Investment Fraud
    Not yet reviewedReview Mark
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 50 years
    Practice Areas:  Corporate and Incorporation, General Practice, Securities and Investment Fraud
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 28 years
    Practice Areas:  Securities & Investment Fraud, Securities Offerings
    Not yet reviewedReview Sharie
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 43 years
    Practice Areas:  White Collar Crime, Securities and Investment Fraud, International Law
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 31 years
    Practice Areas:  Securities and Investment Fraud
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 23 years
    Practice Areas:  Securities and Investment Fraud, Litigation
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 27 years
    Practice Areas:  Securities and Investment Fraud
    Dist. of Columbia Securities & Investment Fraud Attorney
    Securities & Investment Fraud Lawyer Licensed for 50 years
    Practice Areas:  Securities and Investment Fraud, Litigation, Government

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