Shelburne Investment and Securities Fraud
The Shelburne investment fraud lawyers at the Law Offices of Robert Wayne Pearce, P.A. represent clients in Shelburne harmed by broker misconduct, unsuitable recommendations, churning, Ponzi schemes, misrepresentation, and fiduciary breaches. We pursue recovery through FINRA arbitration, negotiated settlements, and claims under the Vermont Uniform Securities Act (9 V.S.A. ch. 150).
Attorney Robert Wayne Pearce represents clients in Shelburne in matters involving unauthorized trading, private-placement fraud, margin violations, and excessive fees. We investigate accounts, quantify losses, and seek accountability from brokers and firms.
Our team serves clients located in Shelburne in mediation, arbitration, and court when necessary. We usually work on a contingency fee basis, but hourly and alternative arrangements are available.

Seasoned Guidance for Securities Fraud Matters in Shelburne
We represent Shelburne investors and understand Vermont statutes and the hurdles local investors may face. If you suspect wrongdoing in an account, call 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 Shelburne, and the greater Burlington area.
From sophisticated wealth management to retirement accounts that still deserve protection, we guide clients through FINRA arbitration and claims under Vermont law across key Shelburne communities:
- Shelburne Point & Harbor Road – Waterfront estates and concentrated equity positions; risks include unauthorized trading and aggressive margin strategies that can amplify losses.
- Webster Road & Marsett Road Estates – Professionals and family trusts focused on long-term planning; exposure to unsuitable recommendations, excessive fees, or churning in managed accounts.
- Bay Road Corridor – Growing real-estate and small-business investment activity; potential for private-placement misrepresentation and illiquid product sales in retirement portfolios.
- Shelburne Farms Area – High-value estates and philanthropic investors; heightened risk of breach of fiduciary duty and negligent supervision tied to complex strategies.
A Tailored Plan for Your Investment Fraud Claim
We recognize that every situation is unique. Our attorneys investigate the details of your claim and develop a plan designed specifically for your needs. With our in-depth understanding of securities regulations, we’re committed to securing the strongest possible outcome for you.
Contact the Shelburne 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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