In this volatile economic climate, individual and institutional investors alike navigate unpredictable markets. In addition to these risks, investors also face the problem of how to recover when corporate leaders leave their ﬁduciary duties at the door. Government enforcement agencies, too, tasked with holding powerful entities accountable, are heavily strained by budget cuts, shrinking staff, and an increasingly corporate-friendly judiciary. A private law ﬁrm with shared interests could be a timely ally. We can help.
With the ability to handle securities law claims, The Law Ofﬁce of Macy D. Hanson, PLLC, is uniquely situated to represent investors to ensure corporate accountability for illegal and unethical activities that harm investors.
Shareholder derivative and class action claims.
Corporate governance matters.
Broker-dealer disputes and arbitrations.
Suits against investment advisors, ﬁnancial professionals, and other fiduciaries.
Our ﬁrm is prepared to provide shareholders and investors with securities-related claims the experience, and resources, necessary to protect their interests and recover their losses.
Please contact us for a free evaluation and assessment of your claim.
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Cell: 480-980-8762 Office: 601-853-9521 email@example.com
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