The Law Offices of Robert Wayne Pearce, P.A. is a nationally recognized securities law firm specializing in investment fraud, FINRA arbitration, and regulatory defense matters. Founded by Robert Wayne Pearce, who brings over 45 years of experience, the firm stands out for its aggressive advocacy and impressive track record of recovering over $175 million for defrauded investors across the United States and internationally.
The firm adopts a client-focused approach, representing both individual investors and financial professionals in complex securities disputes. With extensive experience in courtroom litigation, arbitration, and mediation, they handle cases involving broker misconduct, regulatory investigations, and sophisticated financial products. Their practice is distinguished by their deep expertise in securities law and their commitment to achieving substantial recoveries for their clients.
Services Offered
- Investment Fraud Representation
- Securities Fraud Cases
- FINRA Arbitration
- Stockbroker Fraud
- Elder Financial Abuse Claims
- Broker & Financial Advisor Representation
- Investor Representation
- Stock Market Loss Recovery
- Margin Call Liquidations
- Private Placement Fraud
- Churning & Excessive Trading
- Failure to Supervise Claims
- Lack of Diversification Cases
- Negligence & Breach of Fiduciary Duty
- Regulatory Defense (SEC, CFTC, FINRA, Florida-OFR, NFA)
- Mismanagement of Trusts & Investment Accounts
- Structured Products Litigation
- Regulation D Offerings Fraud
- Commodities Fraud
- Elder Law Attorney Services
- Trial Attorney Services
The firm serves clients nationwide, with notable presence in states including Florida, California, New York, Texas, Georgia, and Arizona. Services are available in English and Spanish, reflecting their commitment to accessibility for a diverse client base. Robert Pearce holds an AV Preeminent rating and has been recognized by Super Lawyers and the Multi-Million Dollar Advocates Forum for his exceptional results and dedication to investor rights.
