The Securities Law Firm of Menzer & Hill, P.A., is a nationally known securities law firm representing clients nationwide in securities fraud, securities arbitration and securities litigation matters. Our securities attorneys’ focus is representing investors nationwide that have lost money due to the negligence and misdeeds of their stockbrokers and financial advisors and the failure to supervise by their broker-dealers.

Menzer & Hill has pursued litigation against virtually every nationally recognized brokerage firm and/or independent broker-dealer in the industry, including but not limited to: Morgan Stanley, Merrill Lynch, Wells Fargo, Raymond James, UBS Financial Services, E*Trade, Ameritrade, Oppenheimer, ING, Edward Jones, Fidelity, Citigroup Global Markets, Chase Bank, SunTrust Bank, LPL Financial, Woodbury Financial and NEXT Financial.

One of the biggest benefits that our law firm brings to you, the client, is the fact that the founding partners of Menzer & Hill formerly held Corporate Counsel and Chief Compliance Officer positions for two publicly traded broker-dealers. The partners have essentially switched hats, where they once represented the brokerage industry, they now represent aggrieved investors, but bring with them the unique knowledge and understanding of how brokerage firms defend against securities claims. Additionally, the prior brokerage experience gives the Firm a better understanding of the insurance coverage brokers and their brokerages carry.