Greco & Greco, P.C. is a specialized securities fraud law firm dedicated to representing investors in disputes against stockbrokers, brokerage firms, financial planners, and investment advisors. With a father-and-son legal team boasting decades of combined experience, the firm stands out for its focused expertise in FINRA arbitration and investment fraud litigation, offering personalized attention and a nationwide practice from its Mid-Atlantic base.
The firm takes a client-centered approach, managing all aspects of each case internally without delegation to inexperienced staff. They operate on a contingency fee basis, ensuring clients only pay if recovery is successful. Their practice spans individual and institutional investors who have suffered losses due to misconduct, with particular strength in complex financial products and strategies. The managing partner’s election to the Board of Directors of the Public Investors Advocate Bar Association (PIABA) underscores the firm’s respected standing in the field.
Services Offered
- Securities Fraud
- FINRA Arbitration
- Investment Fraud
- Breach of Fiduciary Duty
- Regulation Best Interest Compliance
- Churning
- Broker Theft
- Margin Disputes
- Ponzi Scheme Litigation
- Suitability Claims
- Unauthorized Trading
- Civil Litigation
- SEC Whistleblower Claims
- ERISA Claims
- Negligence
- Failure to Supervise
- Mediation
- Co-Counsel and Referral Arrangements
The firm serves clients nationwide, with attorneys licensed in Virginia, Maryland, Washington, D.C., and New York. They have represented investors from across the United States and Puerto Rico, offering free consultations and traveling at their own expense for promising cases. With 85 years of combined experience and a record of successful verdicts and awards, Greco & Greco provides dedicated advocacy for those seeking to recover investment losses.
