East Providence Investment and Securities Fraud

An investment and securities fraud lawyer protects East Providence investors who have suffered losses due to broker misconduct, including unauthorized trading, Ponzi schemes, misrepresentation, and churning. These claims are often resolved through FINRA arbitration, mediation, or civil litigation under the Rhode Island Uniform Securities Act (R.I. Gen. Laws § 7-11-101 et seq.).

The Law Offices of Robert Wayne Pearce, P.A. represents clients in East Providence facing complex investment disputes and helps them pursue full financial recovery. Attorney Robert Pearce and his team tailor strategies to each case—whether through arbitration, settlement, or litigation—to hold financial professionals accountable.

We typically work on a contingency fee basis but also offer hourly and other arrangements depending on the matter.

Experience You Can Count On From a Leading Securities Fraud Firm

We represent investors across East Providence, Rhode Island and understand both the Rhode Island Uniform Securities Act and the Rhode Island Deceptive Trade Practices Act (R.I. Gen. Laws § 6‑13.1‑1 et seq.). 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 East Providence and the greater Providence area.

From safeguarding high‑net‑worth portfolios to protecting smaller retirement accounts, we can steer you through FINRA arbitration, SEC investigations, and other routes to recoup losses throughout East Providence:

  • Rumford (Wannamoisett Country Club area) – Historic homes around the golf course attract executives and physicians whose sizable brokerage accounts are vulnerable to sophisticated options‑trading schemes.
  • Kent Heights – A centrally located neighborhood seeing rising property values; busy professionals here often delegate trading authority, creating risk for unauthorized transactions and fee overcharges.
  • Riverside & Boyden Heights waterfront – Water‑view properties and new condominiums draw retirees seeking dividend income, making them targets for unsuitable high‑yield products.
  • Watchemoket Square corridor – An emerging mixed‑use district where entrepreneurs leverage concentrated stock positions to fund projects, increasing exposure to margin‑call liquidations and misrepresentation.

A Tailored Plan for Your Investment Fraud Claim

We recognize that every situation is unique. Our attorneys investigate your claim’s details and devise a strategy designed specifically for your needs. With our in‑depth understanding of securities regulations, we’re committed to achieving the strongest possible outcome for you.

Contact the East Providence 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.

Responsive Image

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
East Providence Securities Fraud Lawyer
Stockbroker Misconduct Attorney East Providence RI
Ponzi Scheme Recovery Law Firm East Providence
Prudent Investor Rule Violation Attorney Rhode Island
Financial Exploitation of Seniors East Providence Investors