
Attorney Robert Pearce was one of the first securities and commodities arbitration and litigation attorneys to form a boutique law firm and has specialized in this area of law for over 45 years and serving clients nationwide.
Since then, his law practice has experienced tremendous growth through representation of investors, stockbrokers and others in litigation and arbitration proceedings. The law firm aggressively litigates and arbitrates cases in a number of practice areas in different forums and has an unsurpassed reputation as one of the most successful law firms in this field.
Robert Wayne Pearce is the principal attorney of The Law Offices of Robert Wayne Pearce, P.A. and is an experienced trial lawyer known by his peers for his unyielding professional work ethic both inside and outside the courtroom. He has litigated and arbitrated investment-related disputes for more than 45 years. He is also a Florida Circuit Court civil mediator and a respected mediator in the FINRA Mediation Program. Attorney Pearce has recovered over $175 million dollars for his clients, and has received numerous 5 star ratings from dozens of satisfied clients.
MANEJAMOS TODAS LAS DISPUTAS DE VALORES, PRODUCTOS BÁSICOS E INVERSIONES EN LOS TRIBUNALES Y EL ARBITRAJE A NIVEL NACIONAL
The attorneys at The Law Offices of Robert Wayne Pearce, P.A. specialize in representing investors and stockbrokers in courtroom litigation and securities industry arbitration proceedings. The firm also represents stockbrokers and other individuals involved in disputes with government agencies such as the United States Securities and Exchange Commission (SEC), United States Commodities Futures Trading Commission (CFTC), Floridfa Office of Financial Regulation (FL-OFR), Financial Industry Regulatory Authority (FIA-OFR), and National Futures Association (NFA).
Bajo la dirección y visión de la abogada Pearce, los abogados de nuestro bufete han juzgado, arbitrado y mediado con éxito cientos de disputas para inversionistas, corredores y asesores de inversión y otros que involucran asuntos legales complejos, incluyendo:
- Leyes de valores federales y estatales
- Futuros de productos básicos federales, FOREX y ley de metales preciosos apalancados
- SEC, CFTC, FINRA, NFA, FL-OFR Reglas, Regulaciones, Prácticas y Procedimientos
- La norma del inversor prudente, la influencia indebida y la ley de interferencia que rige los testamentos y fideicomisos
- Formulario U-5 de corredor de bolsa, pagaré, préstamo perdonado, contrato, difamación, discriminación y derecho laboral.
- Abuso financiero del derecho de los ancianos
- Ley de fraude comercial
El bufete de abogados de Robert Wayne Pearce, P.A., entiende lo que está en juego en los asuntos de derecho de valores, materias primas e inversiones y se esfuerza constantemente por asegurar el resultado más favorable posible para todos sus clientes. El Sr. Pearce proporciona una revisión completa de su caso y explica plenamente sus opciones legales. La firma trabaja para asegurar que usted tenga toda la información necesaria para tomar una decisión sólida antes de que se tome cualquier acción en su caso.
For dedicated representation by a law firm with substantial experience in all kinds of securities, and commodities and investment disputes, contact the firm by phone at 833-300-6983, toll free at 800-732-2889 or via e-mail. We can also arrange a meeting with you at offices located in Boca Raton, Fort Lauderdale, Miami and West Palm Beach, Florida and elsewhere if we believe you have a viable case or defense.
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
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 $175 million for our investor clients in all types of stockbroker fraud and broker and advisor misconduct cases.


