St. Marys Investment and Securities Fraud
The Law Offices of Robert Wayne Pearce, P.A. represents clients in St. Marys harmed by investment fraud, including unauthorized trading, Ponzi schemes, margin abuse, and misrepresentation.
Our attorneys help St. Marys investors recover losses through FINRA arbitration, litigation, and strategic settlements. We also pursue claims involving breaches of fiduciary duty and violations of state securities laws.
Robert Wayne Pearce and his team work directly with clients located in St. Marys to confront financial advisors, brokerage firms, and others responsible for securities misconduct.

Why Coastal Georgia Investors Trust Our Securities Fraud Team
We represent St. Marys-based investors and have deep knowledge of Georgia statutes—including the Georgia Uniform Securities Act of 2008 (O.C.G.A. § 10-5-1) and, in Ponzi-style matters, the Georgia RICO Act (O.C.G.A. § 16-14-4). If you suspect you’ve been wronged, call us for a no-cost consultation.
Searching for an investment fraud or securities fraud attorney “near me” might not always get you the best attorney for your case. That said, we represent clients nationwide and have represented investors near you in St. Marys, and the greater Savannah area.
From fraud in high-net-worth portfolios to more modest nest eggs that still deserve protection, we guide clients through FINRA arbitration, SEC investigations, and other avenues for recovery throughout greater St. Marys, including:
- Cumberland Harbour – A gated peninsula community of luxury waterfront homes and boating enthusiasts whose sizeable brokerage accounts may be targeted by complex scheme promoters.
- Osprey Cove – Golf-course living attracts high-income executives and retirees relying on income-generating portfolios that are vulnerable to excessive trading or unsuitable high-yield products.
- Winding River – A master-planned community with many military and defense-industry families from Kings Bay who often invest through employer-sponsored plans and may face misrepresentation of risk.
- Historic Downtown Waterfront – Entrepreneurs and real-estate investors diversifying into equities and private placements, sometimes encountering unregistered offerings with inadequate disclosures.
A Tailored Plan for Your Investment Fraud Claim
We know every situation is unique. Our attorneys investigate your claim in detail and craft a strategy designed specifically for your needs. With our deep understanding of securities regulations, we aim for the strongest possible outcome.
Contact the St. Marys Investment and Securities Fraud Attorneys at the Law Offices of Robert Wayne Pearce, P.A Today
Don’t let fraud jeopardize your financial goals. At the Law Offices of Robert Wayne Pearce, P.A., we’re here to help you work toward recovering your losses.
We’ve recovered more than $175 million for our clients, establishing ourselves as determined advocates for investor rights, and with over 45 years of experience in securities law, our firm has tackled some of the most complex regulations that govern investments.
Call the investment fraud recovery and FINRA arbitration lawyers at the Law Offices of Robert Wayne Pearce, P.A. at (800) 732-2889 or fill out the free consultation form on the right to connect with an attorney today. There’s no obligation, and we keep all inquiries strictly confidential.
Written by attorney Robert Wayne Pearce
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