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Securities Litigation

Florida Securities Attorneys

Our firm's securities lawyers assists plaintiff clients, both individual and business, with public offerings and private placements, assuring compliance with complex state and Federal laws and regulations. Their expertise extends to sophisticated commodities and foreign investment markets, securities fraud, and insider trading matters. We represent institutional purchasers in private placement markets, advising stock issuers and broker-dealer firms in proceedings before state and Federal regulatory agencies. We also represent trading advisors engaged in mutual funds, investments, and commodities related to regulatory compliance matters.

The securities attorneys at Brown and Heller, P.A., have successfully represented individual brokers, individual investors, and brokerage firms against private lawsuit and SEC allegations of misconduct. When you are involved in a dispute over the purchase or sale of securities, you need an experienced and skilled securities law attorney to protect you and advocate for you. If you are trying to insure that your brokerage and your broker dealers are complying with SEC regulations, you need a knowledgeable and thorough SEC compliance attorney to develop and implement a plan to insure compliance. You can rely on Brown and Heller, P.A. to protect your interests.

We serve the communities of Miami, Miami Beach, Ft. Lauderdale, Hollywood, Coral Gables, West Palm Beach, the counties of Miami-Dade, Broward and Palm Beach, and throughout Florida.

Office Location

Brown and Heller, P.A.
One Biscayne Tower 15th Floor
2 South Biscayne Boulevard
Miami, FL 33131
Phone: 305.358.3580
Fax: 305.374.1756
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