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Investment Fraud, Securities, and FINRA Arbitration Attorneys Nationwide

The Law Offices of Robert Wayne Pearce, P.A. has helped investors recover losses from broker securities fraud for over 45 years. A nationwide law firm, they represent defrauded investors, stockbrokers, and financial advisors in securities fraud cases, FINRA arbitrations, and regulatory enforcement matters involving the SEC, CFTC, and FINRA.

Founded and led by Robert Wayne Pearce who has over 45 years of experience in investment fraud law, the securities law firm focuses primarily on helping investors recover losses from investment fraud while also defending financial professionals in regulatory actions and employment disputes within the securities industry.

The firm's attorneys handle complex investment disputes including private placement and Regulation D fraud, structured products litigation, and broker-dealer misconduct cases.

Con más de 45 años de experiencia personal

$21,000,000 Fallo final por robo civil
$8,500,000 Acuerdo de fraude de bonos de corredores de bolsa
$8,200,000 Liquidación de la cuenta de margen del corredor de bolsa
$7,800,000 Liquidación del fraude en la opción de compra de acciones de un corredor de bolsa
$6,000,000 Liquidación de fraude de bonos y fondos de bonos de corredores de bolsa
$5,800,000 Laudo arbitral por fraude de corredor de bolsa
$5,500,000 Acuerdo de arbitraje de la FINRA
$5,000,000 Acuerdo de arbitraje FINRA
$4,300,000 Acuerdo de demanda colectiva ante el Tribunal Federal
$3,500,000 Acuerdo de la Corte del Estado de Florida
$3,350,000 Acuerdo de arbitraje de la FINRA
$3,200,000 Laudo arbitral de la FINRA
$2,750,000 Laudo arbitral de la FINRA

The investment and securities fraud lawyers at the Law Offices of Robert Wayne Pearce P.A., represents clients on all sides of securities, commodities and investment fraud and other issues in a broad range of practice areas in courtroom litigation, arbitration, SEC defense, and mediation proceedings.

Attorney Robert Wayne Pearce and his team have handled hundreds of FINRA, AAA and JAMs securities arbitration and mediation cases for satisfied clients located in many U.S. states and throughout the world.

OVER $185 MILLION RECOVERED FOR CLIENTS Contact Us Nationwide Near You

Have you Suffered Investment Losses or in Need of Regulatory Defense?

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Conoce a nuestro equipo

Algunos abogados sólo trabajan para vivir: nosotros trabajamos... ¡por la justicia!

Our investment and securities fraud lawyers have represented investors throughout the United States and internationally. We have recovered over $185 million for our investor clients in all types of stockbroker fraud and broker and advisor misconduct cases.

Hear From Our Law Firm's Clients

At The Law Offices of Robert Wayne Pearce, P.A., we believe the ultimate barometer of our success is surpassing the expectation of our clients.

The following clients have direct knowledge of our law firm's processes from the inside and experienced our securities fraud attorneys' fierce advocacy.

Hear From Our Law Firm's Clients

  • "Bob Pearce es el Héroe Marvel de la vida real que lucha por los pequeños inversores contra las instituciones de corretaje que gestionan el dinero duramente ganado de los inversores de forma descuidada, y lo que es peor, realizan fraudes descarados."

    Bob Pearce es el Héroe Marvel de la vida real que lucha por los pequeños inversores contra las instituciones de corretaje que gestionan descuidadamente el dinero duramente ganado de los inversores y, lo que es peor, cometen fraude descaradamente. Durante años, fuimos engañados por una empresa de corretaje que nos dijo que corregiría el error o nos compensaría por sus errores. Sólo después de que empezamos a trabajar con Bob, nos dimos cuenta de lo poderoso y maravilloso que es tener un experto legal superior a tu lado. Bob es inmensamente detallista, conocedor, profesional y confiado. Estamos más que contentos con el resultado que Bob consiguió para nosotros en tan sólo unos meses. ¡Gracias, Bob!

    - Q Wang -
  • "Al final, Bob y yo fuimos los últimos en reír cuando los árbitros me concedieron casi 6 millones de dólares."

    Ningún abogado, excepto Bob, dijo que tenía una oportunidad de ganar. Cuando los abogados de UBS se rieron y me ofrecieron cero para resolver la disputa, Bob se determinó aún más para probar que todos estaban equivocados. Bob estaba extremadamente preparado, y siempre un paso adelante de los abogados de la oposición durante todo el arbitraje. Al final, Bob y yo fuimos los últimos en reír cuando los árbitros me otorgaron casi 6 millones de dólares.

    - J. Blanco -
  • "Para la mejor oportunidad de lucha, Robert Pearce es el abogado que quieres en tu esquina."

    Este bufete de abogados es el verdadero negocio. Tuvimos tanta suerte de que aceptaran nuestro caso, ya que tienen tanta experiencia en valores y en todas las fechorías que ocurren en estas compañías de inversión donde te engañan a ti y a tu dinero (como en nuestro caso) en esquemas que no son lo que tú crees que son. El Sr. Robert Pearce es uno de los mejores abogados que hay, un verdadero profesional que luchará por usted y le dirá cómo es todo el tiempo. No podríamos haber pasado por esta experiencia si no fuera por todo el asesoramiento, la orientación y el apoyo que él y todo su personal y asociados aportaron al juego. Para la mejor oportunidad de lucha, Robert Pearce es el abogado que quieres en tu esquina.

    - Astrid M. -

Securities Fraud Cases & Investigations

Inversores con cuentas de margen y líneas de crédito respaldadas por valores "reventadas": ¿Cómo recuperar sus pérdidas de inversión?

If your securities-backed credit line or margin account was hit with margin calls and liquidated, recovery focuses on what your advisor recommended and disclosed before the account opened—not the liquidation itself. Misrepresentations, unsuitable leverage for conservative investors, and concentration can support claims. Investors often must pursue FINRA arbitration or mediation to seek reimbursement and fees.

Sigue leyendo

Arbitraje FINRA: Qué esperar y por qué debe elegir nuestro bufete de abogados

FINRA arbitration can help investors recover losses, but results depend on preparation and strategy. Our attorneys conduct a detailed case review, draft a fact-rich Statement of Claim, and manage arbitrator selection, discovery, mediation, and hearing presentation. We focus on evidence, deadlines, and damages analysis so clients know what to expect from start to award today.

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Investment Fraud Lawyers

Investment Fraud Lawyer | Law Offices of Robert Wayne Pearce, P.A | Securities Law Firm

Somos un bufete de abogados de valores reconocido a nivel nacional

Con un exitoso historial de recuperación de las pérdidas de inversión

Attorney Robert Wayne Pearce is a well-respected advocate for investors throughout the legal community, known as a fierce litigator and tireless not only in Florida but across the nation and near you.

Read his Investors’ Rights Blog and discover the breadth of his knowledge that can only be gained from over 45 years of legal experience for yourself. As one of the most experienced in FINRA arbitration, Mr. Pearce knows all of the available options for your case and will pursue them vigorously to secure the best possible outcome for you and your stockbroker fraud and stockbroker misconduct case.

He has earned a peer rating of AV Preeminent * through the Martindale-Hubbell peer review rating process, the highest available rating through that program.

El Sr. Pearce es uno de los Súper Abogados de Thomson Reuters Florida ** para Litigios de Valores (Top 5). Lea el artículo sobre él en la revista de Súper Abogados de Florida 2014 titulado: "Sin excusas - Cómo Robert Wayne Pearce miró fijamente un desastre personal".

Durante sus más de 45 años de experiencia en la práctica del derecho de valores y materias primas, ha ganado numerosos premios y acuerdos millonarios para sus clientes, lo que le ha valido el reconocimiento de su éxito por The Million Dollar Advocates Forum y The Multi-Million Dollar Advocates Forum como uno de los mejores abogados litigantes de América TM***.

By hiring The Law Offices of Robert Wayne Pearce, P.A., you get access to his over 45 years of experience practicing in the area of securities, commodities and investment fraud on both sides of the table in arbitrations and courtroom litigation, and you will clearly see his legal experience and knowledge in action. Having a fierce litigator and tireless advocate of your rights, and one who will quickly identify both the strengths and the weaknesses of your case will surely increase the likelihood of winning your case.

Blog jurídico

Conservation Easement Syndications – Risks & Loss Potential for Investors

How Syndicated Tax Shelters Cost Investors Billions — and What You Can Do About It If your financial advisor or broker recommended a syndicated conservation easement — a deal that promised you four or five dollars in tax deductions for every dollar you invested — you are likely facing a financial crisis. The IRS has designated these transactions as abusive tax shelters, federal prosecutors have secured the longest tax fraud prison sentences in U.S. history against the promoters, and the Tax Court has rejected more than 90% of the claimed deductions in case after case. But the investors who purchased these deals are not the ones who designed them. In many cases, they relied on the advice of financial professionals who had a duty to investigate the risks and disclose the truth. This article explains how syndicated conservation easement tax shelters worked, why they were fraudulent, what federal enforcement has revealed, and — most importantly — how investors who lost money can pursue recovery through FINRA arbitration and other legal channels.

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Oil & Gas Program Risks & Loss Potential for Investors

What Are Oil and Gas Investment Programs? Oil and gas investment programs are securities offerings that pool investor capital to fund the exploration, drilling, or production of oil and natural gas wells. They are typically structured as private placements under Regulation D of the Securities Act and sold by broker-dealers, independent promoters, and financial advisors to retail investors seeking tax-advantaged income and energy sector exposure. The most common structure is the direct participation program (DPP), organized as a limited partnership or LLC where investors contribute capital and receive a share of revenue, tax deductions, and losses. Other forms include working interest programs, where investors bear a proportionate share of drilling and operating costs; royalty interest programs, where investors receive production revenue without operating obligations; and turnkey drilling programs, where the sponsor handles all drilling at a fixed price.

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Private Placement Offerings – Risks & Loss Potential for Investors

What Are Private Placement Offerings? Private placement offerings are unregistered securities sold under Regulation D of the Securities Act, exempt from the disclosure requirements and ongoing reporting obligations that apply to publicly traded investments. They are typically sold through broker-dealers and financial advisors to retail investors, often retirees and conservative savers seeking higher yields than traditional fixed-income products provide. Reg D offerings span virtually every asset class—real estate, oil and gas, equipment leasing, hedge funds, life settlements, and healthcare facilities. The issuer prepares a Private Placement Memorandum (PPM) describing the investment, its risks, and its terms. Unlike a public prospectus reviewed by the SEC, a PPM receives no regulatory pre-approval.

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