Real, Recovered Losses
Investment Recovery Group has recovered tens of millions of dollars for investors. Our firm is experienced in losses relating to securities fraud, breach of fiduciary duty, unauthorized trading, and retirement planning negligence. We work hard so that you recover what's yours.
Industry Insight
We have the industry insight and experience to handle any form of lost investments. Our work with advisors and investors, and our extensive knowledge of the financial services industry, sets us apart from other firms.
Trusted Track Record
Our firm has years of experience when it comes to cases relating to securities and investment loss. We helped numerous investors who have been wronged by those they trust. Our team works diligently on every case to help you reclaim your losses.
Who we are
INVESTMENT LOSS RECOVERY INCLUDING CRYPTO ASSETS
FORENSIC ACCOUNTING
DEBT SOLUTIONS
ASSET MANAGEMENT
Fiduciary duty requires people who are in a position of trust and confidence, such as a financial advisor, to maintain the highest ethics, putting the investor's best interests before his or her own. Advisors can breach this fiduciary duty through fraudulent actions, failure to disclose necessary information, unsuitable investment recommendations, and acting out of their own self-interest.
If your broker performs a financial action or authorizes a transaction without your permission, they have committed an unauthorized trade.
If you feel that you've lost investments due to your advisor or broker's inattentiveness, negligence, or failure of due diligence, you may be able to recover those losses.
enquiries@investmentrecoverygroup.com
We represent individual and institutional advisors involved in securities matters. Our team has many years of experience in delivering high-quality legal services for those who have been wronged by investment professionals and have suffered investment losses. We will work to understand your situation and fight to recover what you have lost.
Securities fraud, otherwise known as investment fraud or stock fraud, is a deceptive practice in the stock market industry that influences investors to make financial decisions based on false information. The most common forms of securities fraud include Ponzi schemes and investments for which the investor was not informed of all the relevant features and risks of the investment.