What Did Your Brokerage Firm or Investment Adviser Do Wrong With GWG
Published On: May 29, 2015

If you suffered losses in Landmark Apartment Trust, Stoltmann Law Offices may be able to help you recover those losses through the Financial Industry Regulatory Authority (FINRA) arbitration process. We are currently investigating claims that Landmark Trust was improperly recommended through broker-dealers. Landmark Apartment Trust is a high-risk, non-traded real estate investment trust (REIT) and they tend to be risky investments, which are not suitable for all investors. REITs are more complex and suitable for more sophisticated investors. REITs such as Landmark lack liquidity as well. It is the responsibility of broker-dealers to make sure that their investment advisors perform due diligence on investment recommendations such as these, and, if they do not, they can be held liable for negligence, and can be responsible for losses in a FINRA arbitration claim. Please call Stoltmann Law Offices at 312-332-4200 to speak to an attorney about your options. The call is free with no obligation and our securities attorneys are standing by.

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The posting on this site are mere OPINIONS and NOT statements of fact in any way whatsoever. The information should not be relied upon and there have been no findings made against the firms or individuals referenced on this site. In addition, this Blog is made available for educational purposes only and incorporates information from the web as well as to give you general information and a general understanding of the law, not to provide specific legal advice. By using this blog site you understand that there is no attorney client relationship between you and Stoltmann Law Offices (161 N Clark Street 16th Floor Chicago, IL 60601). The Blog opinions should not be used as a substitute for competent legal advice from a licensed professional attorney in your state.

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Chicago Investment Fraud Attorneys Offering Nationwide Representation to Investors

If you have suffered financial losses because of the negligence or fraud of your financial advisor or broker through unsuitable investment recommendations, over-concentration, churning, misrepresenting risks, conversion or selling away, you have legal rights and options to pursue recovery of those losses.

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