Greco and Greco, P.C., Securities Fraud Attorneys

Securities Fraud Lawyers, Stock and Securities Fraud Arbitration, Claims against Stockbrokers and Brokerage Firms, Investment Fraud, Unsuitable Investments, Churning, Ponzi Schemes

Email:Greco and Greco, P.C., Securities Fraud Attorneys

Web Site: _blank

Phone: 703-821-2777, 877-821-5550

Fax: 703-893-9377

Address: 1300 Old Chain Bridge Road, Rockville, MD 22101

Fee: $-$$$

Business Hour: Mo-Fr 09:00-17:00

Attorneys in Firm: 0

Establish Year:

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Lawyers in Greco and Greco, P.C., Securities Fraud Attorneys

Practice Area: Securities Fraud; Stock Fraud; Claims Against Stockbrokers; Brokerage Firms; FINRA; FINRA Arbitration; NASD Securities Arbitration; Unsuitable Investments; Churning; Broker Theft; Breach of Fiduciary Duty; Hedge Funds; Securities; Investors Rights; Ponzi Schemes; Securities Litigation; Civil Litigation; Civil Fraud; Fraud; Negligence; Financial Law; Bank Fraud; Securities Law; Blue Sky Law; Broker-Dealer Arbitration; Private Placement; Mortgage Backed Securities; Securities Arbitration; SEC Whistleblower; Securities Fraud Whistleblower; Securities Consumer Arbitration; Securities Fraud Arbitration; Securities Investor Protection Act; Commission Disputes; Claims by Stockbrokers Against Employers; Discrimination Claims Against Brokerage Firms.

About: Securities Fraud Lawyers, Stock and Securities Fraud Arbitration, Claims against Stockbrokers and Brokerage Firms, Investment Fraud, Unsuitable Investments, Churning, Ponzi Schemes

Former Firm Names: We are proud to continue serving clients under our established name.

Clients: Our clients value our commitment to privacy and professionalism.

Other Office Locations: We offer remote legal services and assist clients anywhere.

References: References are shared directly with clients to ensure confidentiality.

Team Members

FAQ

Frequently Asked Questions
Q: Where is the law firm located?
A: The law firm is located at 1300 Old Chain Bridge Road, Rockville, MD 22101.

Q: What are the law firm's practice areas?
A: The firm specializes in Securities Fraud; Stock Fraud; Claims Against Stockbrokers; Brokerage Firms; FINRA; FINRA Arbitration; NASD Securities Arbitration; Unsuitable Investments; Churning; Broker Theft; Breach of Fiduciary Duty; Hedge Funds; Securities; Investors Rights; Ponzi Schemes; Securities Litigation; Civil Litigation; Civil Fraud; Fraud; Negligence; Financial Law; Bank Fraud; Securities Law; Blue Sky Law; Broker-Dealer Arbitration; Private Placement; Mortgage Backed Securities; Securities Arbitration; SEC Whistleblower; Securities Fraud Whistleblower; Securities Consumer Arbitration; Securities Fraud Arbitration; Securities Investor Protection Act; Commission Disputes; Claims by Stockbrokers Against Employers; Discrimination Claims Against Brokerage Firms..

Q: Does the law firm offer free consultations?
A: Yes, the law firm offers a 30-minute free consultation for new clients. Policy might change at any time, please contact us by email to verify in writing.

Q: What are the law firm’s hours of operation?
A: Its opening hours are Mo-Fr 09:00-17:00.Operating hours may change and can be affected by holidays. Please call 703-821-2777, 877-821-5550 to make an appointment.

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