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205-874-7950

Types of Investment Fraud Claims We Handle

Taking Legal Action Against All Forms of Securities & Investment Fraud

We have an intricate understanding of all types of securities and product investments. We also have a clear understanding of the various ways stockbrokers, brokerage firms and financial advisors prey upon investors.  We help our clients recover from all types of investment fraud involving all types of investments, including:

  • Annuities
  • Auction rate securities
  • Collateralized debt obligations (CDOs)
  • Collateralized mortgage obligations (CMOs)
  • Commodities, futures and speculative investments
  • Exchange traded funds
  • Hedge funds
  • Investment scams
  • Mortgage-backed securities
  • Ponzi schemes
  • Pryamid schemes
  • Real estate investment trusts (REITs)
  • Senior investments
  • Stocks, bonds and mutual funds

Let our  over 135 years of combined experience work for you.

Experienced Investment & Stockbroker Fraud Lawyers

Gordon, Dana & Gilmore, LLC is the preferred law firm for the handling and referral of sensitive business, personal and litigation matters that require “troubleshooting expertise” as well as a professional approach at a higher level.

Practice Areas

  • Business & Corporate Law
    • Commercial Lending
    • Incorporations, Mergers, Acquisitions
    • Marketing, Franchising, Licensing, Distribution Agreements
    • Non-Compete / Non-Solicitation / Confidentiality / Non-Disclosure Agreements
    • Operation Documents – Stock Plans & Stock Restriction Agreements
    • Organizational & Contract Documents
  • Business Litigation
    • Bank / Creditor / Lender Disputes
    • Breach of Contract
    • Business Disputes
    • Business Disputes In Divorce
    • Franchise Litigation
    • Partnership & Shareholder Disputes
    • Physician Partnership Agreements & Practice Group Disputes
  • High Asset / Profile Divorce
    • Business Disputes In Divorce
    • Divorce & Tax Implications
    • Property & Asset Division
  • Investment / Stockbroker Fraud
    • Breach of Fiduciary Duty
    • Churning / Excessive Trading / Unauthorized Trading
    • Credit Default Swaps
    • Failure To Diversify / Overconcentration
    • Failure To Supervise
    • Inappropriate Risk / Unsuitable Investment
    • Misrepresentation & Omissions
    • Ponzi Scheme / Pyramid Scheme / Investment Scams
    • Types of Investment Claims We Handle
  • Mediation
  • Professional Licensing
  • Real Estate
  • Tax Law
    • Tax Court Representation
    • IRS Dispute Resolution
    • Tax Fraud & Evasion

Contact Us

Contact Info

Monday - Friday

8:00 am - 5:00 pm, CST

600 University Park Place Suite 100 Birmingham, Alabama 35209

Telephone: 205-874-7950

Facsimile: 205-874-7960

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©2002- 2025 Gordon, Dana, & Gilmore, LLC

Disclaimer: This website is for informational purposes only and does not establish an attorney-client relationship. For more information, contact one of our attorneys. The following language is required by Rule 7.2 of the Alabama Rules of Professional Conduct: "No representation is made that the quality of the legal services to be performed is greater than the quality of the legal services performed by other lawyers."

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  • Home
  • Firm Overview
  • Attorneys
  • Practice Areas
    • Business & Corporate Law
      • Commercial Lending
      • Incorporations, Mergers, Acquisitions
      • Marketing, Franchising, Licensing, Distribution Agreements
      • Non-Compete / Non-Solicitation / Confidentiality / Non-Disclosure Agreements
      • Organizational & Contract Documents
      • Operation Documents – Stock Plans & Stock Restriction Agreements
      • Back
    • Business Litigation
      • Bank / Creditor / Lender Disputes
      • Breach of Contract
      • Business Disputes
      • Business Disputes In Divorce
      • Franchise Litigation
      • Partnership & Shareholder Disputes
      • Physician Partnership Agreements & Practice Group Disputes
      • Back
    • High Asset / Profile Divorce
      • Business Disputes In Divorce
      • Divorce & Tax Implications
      • Property & Asset Division
      • Back
    • Investment / Stockbroker Fraud & Negligence
      • Breach of Fiduciary Duty
      • Churning / Excessive Trading / Unauthorized Trading
      • Credit Default Swaps
      • Failure To Diversify / Overconcentration
      • Failure To Supervise
      • Inappropriate Risk / Unsuitable Investment
      • Misrepresentation & Omissions
      • Types of Investment Claims We Handle
      • Back
    • Mediation
    • Professional Licensing
    • Real Estate
    • Tax Law
      • Tax Court Representation
      • IRS Dispute Resolution
      • Tax Fraud & Evasion
      • Back
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  • Contact Us