Jeffery S. Kruske, P.A.

Has your portfolio lost a significant amount of value?

Have you been misled about your investments, or been told to “hang in for the long haul” as your retirement funds lost value month after month?

Do you believe that your trusted financial advisor may have had his or her best interests at heart instead of your own?

If any of the above scenarios have occurred, please contact our office to schedule a free consultation to review your individual situation so that you know your rights.

The Kruske Law Firm is a boutique law firm that focuses in securities arbitration and litigation matters. We represent retail investors who have sustained damages as a result of the failure of their financial professionals and broker-dealers. We also represent financial industry professionals in employment disputes with brokerage firms. We have appeared before the Financial Industry Regulatory Authority (FINRA) which was created in 2007 through the consolidation of the National Association of Securities Dealers (NASD) and New York Stock Exchange (NYSE) enforcement and arbitration divisions. The firm represents clients numerous state and in federal courts to resolve financial disputes between customers, banks, brokerage firms and other financial institutions. To date, our firm has recovered millions and millions of dollars on behalf of our clients.

We have represented investors and industry professionals throughout the country in securities arbitration matters against some of the most well-known firms, including Merrill Lynch, UBS Financial Services, A.G. Edwards, Edward Jones, Morgan Stanley, Banc of America, and Charles Schwab.

Stock Broker...Arbitration...Securities Lawyer...Investments...Broker...Fraud...Regulations