
INVESTOR FRAUD &
LOSS RECOVERY
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Protecting What You’ve Worked Hard to Build
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When you suffer investment losses, it’s not always just the market to blame. Many investors unknowingly become victims of broker misconduct, unsuitable investment recommendations, or complex products that were misrepresented or never properly explained. At AMW Law PLLC, we help individuals across New York and the U.S. understand the cause of their losses and pursue recovery through FINRA arbitration or settlement.
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Led by securities attorney Artur M. Wlazlo, a former FINRA enforcement attorney, Wall Street regulatory, defense and compliance lawyer, and current arbitrator, our firm offers unmatched insight and personalized representation for investors seeking justice. Explore our investor resources below to learn how we can help.
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Our Services for Investors
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​At AMW Law PLLC, we understand that investors who have suffered financial losses want more than legal jargon—they want clarity, confidence, and trust in the person representing them. That’s why, in the Our Services section below, we’ve provided a series of in-depth articles that explain the types of cases we handle, how the legal process works, and what sets our firm apart. Each article offers insights into our experience, our approach to client representation, and the specific ways we help investors pursue recovery. You can also find them, and many more, on Our Legal Services blog.
Whether you’re researching your options or preparing to take action, these resources are here to help you understand who we are—and how we can help you protect your financial future.​
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🔹 Investment Fraud Attorney: Misleading Advice, Omitted Risks, and Deceptive Sales Practices
Investment fraud occurs when a broker or advisor misleads a client—through false promises, half-truths, or concealed risks. These cases may involve misrepresenting high-risk products as “safe,” failing to disclose conflicts of interest or commissions, or recommending unsuitable investments purely for financial gain. At AMW Law PLLC, we uncover the truth behind your losses and pursue full recovery through arbitration or settlement. If you were persuaded to invest based on false or incomplete information, we can help you take legal action. READ MORE
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🔹 Investment Loss Attorney: Legal Remedies for Mismanagement and Portfolio Overexposure
Not every investment loss stems from fraud—some arise from negligent or inappropriate portfolio management. If your financial professional failed to diversify your holdings, exposed you to excessive risk, or disregarded your financial goals, we may be able to recover those losses. We examine your account records and investment strategy to determine whether the advisor violated industry standards or legal duties. Even if your broker did not act maliciously, they may still be liable for mismanaging your investments. READ MORE
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🔹 Securities Arbitration Lawyer for Investors: Pursuing Recovery Through FINRA Dispute Resolution
Most disputes between investors and brokerage firms are resolved through FINRA arbitration, not court. This private legal process allows investors to present claims before a neutral panel of arbitrators. We handle every stage of this process—drafting the claim, managing discovery, preparing you for testimony, and representing you at the hearing. With Artur M. Wlazlo’s experience as a former FINRA enforcement attorney and current arbitrator, we know how to build strong, persuasive cases that resonate with arbitration panels. READ MORE
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🔹 Investment Lawyer for Investors: Handling Misrepresentation, Unsuitable Products, and Fee Abuse
We assist investors harmed by a range of misconduct—whether it involves misleading sales tactics, failure to explain the true costs of an investment, or placing you in a product that simply didn’t belong in your portfolio. Our firm helps investors challenge sales of unsuitable annuities, non-traded REITs, structured products, and other complex offerings. If you were charged excessive fees or commissions or encouraged to invest without clear explanations, we offer the legal experience to pursue compensation. READ MORE
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🔹 Securities Lawyer for Investors: Navigating Regulatory, Statutory, and Procedural Complexities
Securities law covers a wide range of investor rights and financial professional responsibilities. From FINRA rules to federal securities statutes, we help clients navigate complex legal issues involving fraud, negligence, unauthorized trading, and product misrepresentation. We also advise on the timing and eligibility of claims, including how to preserve your rights if the losses occurred years ago. With AMW Law PLLC, you receive experienced, strategic representation from a lawyer who knows how both regulators and arbitrators think. READ MORE
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🔹 Securities Fraud Lawyers: Exposing Serious Financial Schemes and Intentional Misconduct
Securities fraud involves intentional deception or concealment in the sale or management of investments. Common examples include Ponzi schemes, falsified performance figures, insider trading, or high-commission products disguised as safe or low-risk. In this article, we will outline how investors can detect securities fraud, what legal remedies are available, and how our firm can take action to pursue compensation and justice. READ MORE​
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Serving Investors in Long Island, New York, and Nationwide
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From retirees to first-time and experienced investors, we represent individuals from all backgrounds who relied on professional advice—and were let down. Whether your account was held at a national wirehouse or a smaller advisory firm, we can help you evaluate your claim and pursue recovery.
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Contact us today for a free consultation with an experienced investment loss attorney.​​

CONTACT US
OUR OFFICE
405 RXR Plaza, Suite 405
Uniondale, NY 11556
Email: info@amwlawpllc.com
Tel: (516) 231-2858