Weltz Law

Weltz Law is a leading FINRA arbitration lawyer firm with multiple locations in the United States of America.

Email:Weltz Law

Web Site: https://www.brokersfraud.com/

Phone: 877-935-8952

Fax: 877-935-8952

Address: 1441 Broadway, 3rd Floor, New York, NY 10018

Fee: $-$$$

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

Attorneys in Firm: 5

Establish Year: 2019

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Lawyers in Weltz Law

Practice Area: Account Churning, Alternative Products, Boiler Rooms, Breach of Contract, Breach of Fiduciary Duty, Broker Misconduct, Exchange Traded Funds, Expungement, Failure to Diversify, Failure to Execute, Failure to Supervise, Financial Elder Abuse, Fraud and Misrepresentation, How the FINRA Process Works, Margin Accounts, Mutual Funds, Negligence, Ponzi, Schemes, Pump and Dump, Pyramid Schemes, Selling Away and Private Securites Transactions, Unauthorized Trading, Understanding Private Placements, Unsuitability

About: As a leading FINRA arbitration law firm in the USA, Weltz Law has a wealth of experience in representing clients in all aspects of securities and commercial litigation as well as real estate, estate planning, and estate administration matters. We specialize in disputes involving stocks, bonds, margin trading, options, mutual funds, real estate investments trusts (REITs), private placements, initial public offerings, structured products, annuities and exchange-traded funds (ETFs). Contact us today for a free evaluation of your case.

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.

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FAQ

Frequently Asked Questions
Q: Where is the law firm located?
A: The law firm is located at 1441 Broadway, 3rd Floor, New York, NY 10018.

Q: What are the law firm's practice areas?
A: The firm specializes in Account Churning, Alternative Products, Boiler Rooms, Breach of Contract, Breach of Fiduciary Duty, Broker Misconduct, Exchange Traded Funds, Expungement, Failure to Diversify, Failure to Execute, Failure to Supervise, Financial Elder Abuse, Fraud and Misrepresentation, How the FINRA Process Works, Margin Accounts, Mutual Funds, Negligence, Ponzi, Schemes, Pump and Dump, Pyramid Schemes, Selling Away and Private Securites Transactions, Unauthorized Trading, Understanding Private Placements, Unsuitability.

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 [email protected] 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 877-935-8952 to make an appointment.

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