Securities Law Attorneys in Wisconsin
Whether your legal challenges involve broker negligence claims, SEC investigations, securities offering registration or obtaining proper broker licensing, the securities law attorneys at Murphy Desmond S.C. have the experience, diligence and resources needed to properly assist you. We are committed to protecting our clients' best interests and resolving securities law disputes efficiently.
Rated a "Tier 1" law firm in Securities in Madison, Wisconsin, by Best Lawyers since 2010, Murphy Desmond is adept at handling a wide range of securities legal issues for a broad constituency of clients.
Our lawyers represent stockbrokers, investment advisors, brokerage firms, financial advisors, business entities, independent investors and other clients in securities law issues. We can provide you with legal representation involving:
- Broker misconduct — including churning, failure to diversify funds, breach of fiduciary duty and other negligence
- Securities fraud — including insider trading claims, online investment fraud and other fraudulent actions
- Securities offerings — including Regulation A offerings, Regulation D offerings and other private placements
- Other securities law matters — including handling of government and municipal securities, broker and dealer licensing, regulatory compliance and securities disputes
For effective and efficient counsel in securities registration, SEC investigations, securities arbitration and litigation, contact Murphy Desmond. Our securities lawyers work diligently to obtain viable and successful solutions to your securities legal matters.
For a consultation with Murphy Desmond S.C., call 608.257.7181 or send us an e-mail. Our firm serves clients throughout Wisconsin.