Fidelity Investments is a Boston, Massachusetts based multinational financial services corporation founded in 1946. It is one of the largest mutual fund and financial services groups in the world providing discount brokerage services, retirement services, wealth management, securities execution and clearance, life insurance, and a number of other services. Through National Financial Services LLC, a subsidiary company, Fidelity Investments provides a number of services to its correspondent broker-dealers, institutional investment firms, and registered investment advisors, which includes brokerage clearing and back office support. As of 2012, Fidelity Investments' assets under management exceeded $1.5 trillion.FINRA Arbitration Lawyer For Fidelity Investments Investors Nationwide
Fidelity Investments has been the subject of numerous past regulatory events and arbitration proceedings. Some of these past regulatory events and arbitration proceedings included claims involving fraud, misrepresentation, negligence, breach of fiduciary duty, omissions, unsuitable investments, churning, mismanagement of accounts, and failure to supervise. The Financial Industry R egulatory Authority (FINRA) oversees broker-dealer and stockbroker practices and enforces its rules to protect investors and uphold industry standards. FINRA also provides potential investors with useful research tools on its website. Investors considering opening an account at Fidelity Investments should perform their own due diligence by reviewing the broker-dealer's regulatory history and stockbroker's history of conduct. To begin investigating Fidelity Investments and/or its registered representatives, please visit BrokerCheck.Schedule Your Free Initial Consultation with an Aggressive Attorney with Experience in FINRA Arbitrations and Fidelity Investments
For dedicated representation by a law firm with substantial experience in all aspects of securities, and commodities and investment disputes, contact the Law Offices of Robert Wayne Pearce, P.A., located in Boca Raton, Florida. For over 40 years, Attorney Pearce has tried, arbitrated, and mediated hundreds of disputes involving complex securities, commodities and investment law issues. The lawyers at our law firm are devoted to representing investors throughout the United States and international community! We have information about arbitrations and disciplinary actions against Fidelity Investments and/or stockbrokers employed at the firm on our blog. You can always call 800-732-2889 or email Mr. Pearce at email@example.com for answers to any of your questions about your Fidelity Investments investment losses and/or any related matter.