Gonser Law PC is a specialized securities arbitration law firm dedicated to representing aggrieved investors in disputes against stockbrokers, brokerage firms, and investment advisors. Founded by Robert Gonser, the firm stands out for its focused expertise in recovering financial losses resulting from fraud, mismanagement, and unsuitable investment recommendations, with a proven track record of securing millions in awards and settlements since 1990.
The firm employs a client-centered approach, leveraging deep knowledge of securities law and FINRA procedures to maximize recoveries, including accessing insurance coverage from advisory firms nationwide. It primarily serves individual investors who have suffered significant losses due to broker misconduct, with particular experience in cases involving financial elder abuse, unauthorized trading, and overconcentrated investments. Clients benefit from free consultations and contingency-based representation, ensuring accessibility and aligned interests.
Services Offered
- Securities Fraud Representation
- FINRA Expungements for Brokers and Investment Advisors
- Mediation for Securities Disputes
- E&O Insurance Coverage Evaluation for Broker/Dealers
- Employment Law Services
- Representation in Cases Involving Unsuitable Recommendations
- Handling Private Placements and Non-Traded REIT Disputes
- Variable Annuities Claims
- Account Churning or Excessive Trading Cases
- Misrepresentation and Unauthorized Trading Claims
- Employee Stock Option Abuse Representation
- Financial Elder Abuse and Fiduciary Abuse Cases
- Disputes Involving Stocks, Bonds, Tenant in Common (TIC) Investments, and Collateralized Mortgage Obligations (CMOs)
Gonser Law PC is based in Lafayette, California, and serves clients nationwide, with notable success in arbitration and mediation outcomes as reflected in client testimonials from various states including California, North Carolina, Illinois, Minnesota, and Maryland.
