The Idaho stockbroker and investment fraud attorneys at the Law Offices of Robert Wayne Pearce P.A., have extensive experience (over 45 years) in representing investors and organizations in the State of Idaho.

We have experience handling all types of securities fraud cases and utilize all available legal avenues from the federal level to Idaho law as it applies to investment fraud cases.

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Yes, investment losses are a part of investing, but when brokers commit fraud, they can be held legally responsible. If you believe you have been a victim of investment fraud, it is important to contact an investment fraud lawyer with experience handling these types of cases.

Regulatory bodies like the SEC or FINRA might also need to be alerted to potential market manipulation or insider trading.

The sooner you act, the greater your chances of recovering compensation. At the Law Offices of Robert Wayne Pearce, P.A., we have helped countless investors recover their losses due to investment fraud. We will thoroughly investigate your case, uncovering any misrepresentation or fraudulent activity, and fight to get you justice and the compensation you deserve.

Here’s how our knowledgeable and experienced investment fraud law firm can advocate for you:

Recover Losses: Our ultimate goal is to recover your financial losses and protect you from further harm. We are results-driven and committed to achieving the maximum financial recovery you deserve.

Represent & Advise: We’ll stand as your legal representative, advising you on your rights and options throughout the process.

Investigate & Analyze: We’ll thoroughly investigate your case, meticulously analyzing financial documents and potential fraudulent schemes to uncover evidence of wrongdoing.

Identify Liable Parties: We’ll work strategically to identify all potentially liable parties, including brokers, financial advisors, and financial institutions.

File Complaints & Lawsuits: We’ll file formal complaints with regulatory agencies (such as the SEC or FINRA) and, when necessary, initiate lawsuits to protect your interests.

Litigate & Negotiate: We are skilled litigators ready to fight aggressively for you in court or arbitration. Additionally, we’ll negotiate tirelessly to secure the most favorable settlement possible.

What Is Investment Fraud and Securities Fraud

The term “investment fraud” is often used synonymously with “securities fraud.” This type of fraud includes deceptive actions and the dissemination of false or misleading information to influence investors’ decisions, leading to significant financial losses. In some cases, unscrupulous brokers may go as far as to directly steal funds or securities from investors.

Every type of investment fraud that is designed to mislead investors into making decisions that financially advantage the fraudster–these illicit activities can range from false and misleading statements, guarantees, future stock price predictions without any reasonable basis, Ponzi schemes and pump-and-dump tactics to dealing in unregistered securities.

Engaging in securities fraud, which encompasses any illegal or unethical financial manipulation, is subject to legal penalties.


Idaho Laws Relating to Investment Fraud

Idaho investors such as you benefit from a robust framework of protections designed to ensure fair and transparent markets and limit fraud. These safeguards include:

Key Laws and Regulations

  • The Idaho Uniform Securities Act: The cornerstone of Idaho investor protection, this law combats fraud, mandates the registration of most securities, and provides avenues for investors to seek recourse if they’ve been misled.
  • The Idaho Business Corporations Act: This outlines shareholder rights and the responsibilities of company leaders, aiming to ensure that corporations act in the shareholders’ best interests.
  • The Idaho Deceptive Trade Practices and Consumer Protection Act (DTPA): These broad statutes together empower investors to take action against unfair or deceptive investment practices.

Governing Agencies and national regulatory bodies

  • Idaho State Securities Board: This agency is the primary watchdog for the Idaho securities industry. They register offerings, license brokers, investigate misconduct, and educate investors about their rights.
  • Office of the Idaho Attorney General (Consumer Protection Division): Focused on consumer protection, this office can intervene in cases of investment fraud or other deceptive practices that harm Idaho investors.
  • FINRA (Financial Industry Regulatory Authority): FINRA oversees all broker-dealers in the US, setting ethical standards, enforcing securities laws, and providing investor education resources. They work alongside the SEC (Securities and Exchange Commission) for broad investor protection.

Useful Resources

What Are the Statute of Limitations for Investment Fraud

Both Idaho and federal laws have statutes of limitations that set deadlines for filing legal claims. In Idaho, the statute of limitations for fraud is generally three years.

Types of Investment and Securities Fraud Cases We Can Help You With in Idaho

  • Unsuitable investments
  • Forced liquidation
  • Ponzi schemes
  • Excessive trading (churning)
  • Misrepresentation
  • Breach of fiduciary duty
  • Unauthorized trading
  • Failure to supervise
  • Overconcentration
  • Theft or misappropriation of client funds
  • Mutual fund sales violations
  • Excessive markups
  • Selling away
  • Negligence
  • Margin abuse
  • Conflicts of interest
  • Risky private placements
  • Cryptocurrency scams
  • 401(k) misconduct
  • Microcap fraud
  • Mining investment schemes
  • EB-5 visa fraud
  • Advance fee scams

Contact our Idaho Securities and Investment Fraud Attorneys Today

The Law Offices of Robert Wayne Pearce, P.A., is a law firm specializing in representing defrauded investors recover. Idaho investment and stockbroker fraud attorney Robert Wayne Pearce specializes in getting individuals their money back from bad investments using any and all available methods.

If you are an investor who has recently dealt with investment loss due to potential securities or investment fraud, we want to help.

If you have questions about how to move forward, contact our team online or call our Boise office line at (800) 732-2889 for a free confidential consultation with a securities lawyer. We will fight aggressively for your financial recovery and for justice.

Robert Wayne Pearce has decades of first-hand experience in FINRA securities arbitration, and is one of the preeminent experts in this matter both nationwide and internationally.

Our law firm works with clients throughout the state:

[Written by attorney Robert Wayne Pearce (Attorney Bio)]