remland Law Group PC provides legal counsel to investors, entrepreneurs and companies of all sizes. Catering to the needs of our clients, we handle all aspects of business transactions from corporate structuring, drafting and negotiating commercial agreements, mergers and acquisitions and securities work, to financing, joint ventures and sales. We also counsel and advise our clients on corporate governance and regulatory compliance with the SEC and Financial Industry Regulatory Authority (FINRA).
Having been trained at ‘Big Law’ and Wall Street firms, our attorneys are knowledgeable and experienced in getting results.
We have tried securities cases at FINRA arbitrations and negotiated settlements concerning investors who have been taken advantage of by stock brokers and financial advisors. Let us know how you were wronged by others involving securities fraud, noncompliance, breach of fiduciary duty, lack of supervision, unauthorized trading, account churning, mutual fund breakpoint avoidances and conversion.