What We Do
Fighting for Investors. Every Case. Every Time.
When your broker or financial advisor betrayed your trust, Gucciardo Law Group, PA is ready to fight back. We specialize exclusively in securities law — representing individual investors in FINRA arbitration and civil litigation.
01
Securities Fraud
Misrepresentation, omission of material facts, and deceptive investment schemes cost investors billions each year. We hold the responsible parties accountable.
Discuss Your Securities Fraud CaseWe handle
- Misrepresentation of investment risks or returns
- Omission of material facts about securities
- Ponzi schemes and fraudulent investment programs
- Churning and excessive trading in your account
- Unauthorized trading without your consent
02
Broker Misconduct
Brokers and financial advisors have a legal duty to act in your best interest. When they breach that duty, we pursue full recovery on your behalf.
Discuss Your Broker Misconduct CaseWe handle
- Unsuitable investment recommendations
- Failure to disclose conflicts of interest
- Excessive fees and hidden commissions
- Overconcentration in high-risk investments
- Negligent supervision by brokerage firms
03
FINRA Arbitration
Most investor disputes against brokers are resolved through FINRA arbitration. We are seasoned FINRA advocates with a proven track record of winning for investors.
Start Your FINRA ClaimWe handle
- Filing and managing FINRA arbitration claims
- Statement of claim preparation and strategy
- Discovery and document production
- Hearing representation and oral argument
- Award enforcement and collection
04
Investment Loss Recovery
Whether your losses stem from negligent advice, fraudulent products, or outright theft, we identify every avenue for recovery and pursue it relentlessly.
Recover Your Investment LossesWe handle
- Variable annuity and insurance product losses
- Alternative investment and private placement fraud
- Margin account abuse and over-leveraging
- Retirement account mismanagement (IRA, 401k)
- Elder financial abuse and exploitation
Our Process
How We Take Your Case
01
Free Consultation
We review your situation at no cost and no obligation. You'll know within the first conversation whether you have a viable claim.
02
Case Investigation
We gather account records, correspondence, and trading history to build the strongest possible case on your behalf.
03
Filing Your Claim
We file your FINRA arbitration claim or civil lawsuit and manage every aspect of the legal process from start to finish.
04
Recovery
We fight for the maximum recovery available — and you pay nothing unless we win.
Not Sure If You Have a Case?
Call us. We'll tell you honestly whether you have a viable claim — at no cost and no obligation. Most cases are taken on a contingency fee basis.
No recovery. No fee. Confidential consultation.