Wolper Law Firm, P.A. is a nationally recognized securities litigation firm specializing in investment loss recovery and holding financial professionals accountable for misconduct. With a proven track record of securing millions in recoveries for clients, the firm stands out for its deep industry knowledge, trial readiness, and commitment to investor rights.
The firm employs a strategic, client-first approach, leveraging extensive experience in both prosecuting investor claims and defending financial institutions. Led by attorney Matthew Wolper, who brings 14 years of experience representing major banks and brokerage firms, the team anticipates defense strategies and builds compelling cases through meticulous evidence review. They serve individual investors, seniors affected by financial abuse, and clients nationwide who have suffered losses due to broker fraud, negligence, or regulatory violations.
Services Offered
- Securities Litigation & Arbitration
- Unsuitable Investments
- Securities Fraud
- Stockbroker Fraud
- Broker Fraud
- Investment Fraud
- Stockbroker Misconduct
- Unauthorized Trading
- Ponzi Schemes
- Margin Calls and Securities Based Lending
- Broker Theft
- Elder Financial Abuse
- Selling Away
- Breach of Fiduciary Duty
- Churning
- Excessive Trading
- Failure to Supervise
- Life Insurance Fraud
- Premium Financed Life Insurance
- Securities Employment & Industry Disputes
- FINRA Expungement
- Representation in FINRA, AAA, NFA, and JAMS arbitrations
- State and Federal Court Litigation
Serving clients nationwide and internationally, the firm offers free consultations and operates on a contingency fee basis, ensuring no fees unless recovery is achieved. Notable achievements include multi-million dollar settlements against national brokerage firms and registered investment advisors.
