Current Investigations

Alesco Financial

Medical Capital Holdings

Our Practice

Skilled Attorneys Handling Investment Litigation

With the current economic crisis, investments are losing value at incredible rates. People who had planned carefully to ensure long-term stability in their financial futures are suddenly without any security, trying to understand what happened. In some cases, the losses are simply a matter of the volatility of the markets and the risks of participating in investments. Nevertheless, in far too many cases, these losses came as the result of misconduct by trusted financial professionals.

If you have watched your investments plummet and fear that you have been the victim of misconduct, come to the StockMarketLoss.com practice group of Hermann, Cahn & Schneider. From offices in Cleveland, Ohio, we serve clients nationwide. Contact us today to schedule your free case evaluation with a securities fraud lawyer. Call us toll-free at 877-215-0593.

Effectively Addressing All Matters Related to Financial Misconduct

We represent the victims of financial misconduct, addressing everything from breach of fiduciary duty to securities fraud. Frequently, the misconduct encountered by our clients will fall into one of four different types:

Within these four categories, we handle legal concerns touching on a wide range of matters. Although the particular nature of any legal claim depends upon the type of financial advisor or agent involved, many of the same issues can be found, regardless of the type of professional.

We understand financial professionals and we understand the types of mistakes they can make. But equally important, we understand the types of products that they are selling.

These complex financial products can be difficult for even the most seasoned litigator to fully comprehend. However, our lawyers have devoted their careers to handling investment fraud and other financial matters.

Our four attorneys have more than 100 years of combined experience in advocating for clients in investment fraud and stock market losses.

Whether your investment advisor failed to comply with ERISA obligations or your broker has committed misconduct by recommending unsuitable investments, we can effectively serve you. In addition to handling individual cases, we represent people who want to opt out of class action lawsuits.

We are currently building cases for clients harmed by the performance of their Alesco trust preferred securities or their InterNotes bonds. If you have lost money in offerings by Medical Capital Holdings, our attorneys would like to pursue recovery on your behalf.

Contact Our Offices Today

If you have been the victim of misconduct on the part of a financial professional, or even if you just have questions following a significant loss in your investment portfolio, we want to talk to you. Contact our offices to discuss your concerns with an experienced investment fraud attorney at Hermann, Cahn & Schneider.


Contact Us

Hermann, Cahn & Schneider
1301 E. 9th Street, Suite 500
Cleveland, Ohio (OH) 44114

Toll Free: 1-877-215-0593
Phone: (216) 539-8104
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