Q: Where is the law firm located?
A: The law firm is located at 4610 S. Ulster St., Ste. 150, Denver, CO 80237.
Q: What are the law firm's practice areas?
A: The firm specializes in Unsuitable Investment Recommendations, Negligence or Failure to use Due Care, by the Stockbroker or His/Her Firm, Failure by the Brokerage Firm and the Broker to Supervise and Monitor an Account, Failure by the Brokerage Firm to Properly Supervise the Broker on the Account, Breach of Fiduciary Duty by the Broker or the Brokerage Firm where the Account is Maintained, Misrepresentation or Fraud by the Broker or the Firm, Overconcentration and Lack of Diversification in an Account, Churning an Account to Benefit the Broker but not the Customer, Purchasing Securities that don't Meet the Needs of the Customer, Fraud & Misrepresentations and Omissions under State and Federal Securities Laws, Overconcentration - Failure To Diversify, Churning / Overtrading, Unauthorized Trading, Margin Violations, Market Manipulation, Failures To Execute, Breach of Contract, Sales Practice Violations, Forgery, Conversion and Theft, Limited Partnership Issues, Breach of Fiduciary Duty, Securities Regulatory Matters, Oil and Gas and Natural Resources Litigation, General Business Litigation.
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 to make an appointment.