Wisconsin investment loss and stockbroker fraud attorney Robert Wayne Pearce at the Law Offices of Robert Wayne Pearce P.A., has extensive experience representing investors and organizations in securities arbitrations through FINRA in the State of Wisconsin.
Have you fallen victim to investment losses? Are you looking for an experienced attorney to help you fight for the compensation you deserve?
You need an investment / securities fraud lawyer who is dedicated to protecting your rights as a Wisconsin-based investor.
Since 1980, we have been devoted to helping investors and have successfully recovered over $175 million in settlements and verdicts on their behalf. View client testimonials here. We have experience handling all types of securities fraud cases and utilize all available legal avenues from the federal level to Wisconsin law as it applies to investment fraud cases.
Don’t let investment fraud ruin your financial future – contact the Law Offices of Robert Wayne Pearce, P.A. today via our quick-response form, or call our Milwaukee office line a (800) 732-2889.
Perdas em investimentos? Nós podemos ajudar
Discuta suas opções legais com um advogado do The Law Offices of Robert Wayne Pearce, P.A.
ou entre em contato conosco pelo telefone (800) 732-2889.

Wisconsin and Federal Laws That Protect Investors That we Can Leverage For You
Wisconsin investors benefit from a robust framework of protections designed to ensure fair and transparent markets. These safeguards to prevent excessive losses and fraud include:
- Key Laws and Regulations
- Wisconsin Uniform Securities Law: The cornerstone of Wisconsin 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.
- Wisconsin Business Corporation Lawreholder rights and the responsibilities of company leaders, aiming to ensure that corporations act in the shareholders’ best interests.
- Wisconsin Deceptive Trade Practices Act (DTPA): This broad law empowers investors to take action against unfair or deceptive investment practices.
- Governing Agencies
- Wisconsin Department of Financial Institutions: This agency is the primary watchdog for the Wisconsin securities industry. They register offerings, license brokers, investigate misconduct, and educate investors about their rights.
- Office of the Wisconsin Attorney General (Consumer Protection Division): Focused on consumer protection, this office can intervene in cases of investment fraud or other deceptive practices that harm Wisconsin investors.
- National Regulatory Bodies
- 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
- Wisconsin Department of Financial Institutions: https://dfi.wi.gov/Pages/Home.aspx
- Office of the Wisconsin Attorney General, Consumer Protection Division: https://www.doj.state.wi.us/dls/consumer-protection/consumer-protection
- FINRA: https://www.finra.org/
- SEC – https://www.sec.gov/
How our Attorneys Can Help You
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 earlier you take action, the better your chances of securing compensation. At the Law Offices of Robert Wayne Pearce, P.A., we have a strong track record of helping numerous investors reclaim their losses from investment fraud. We will conduct a comprehensive investigation of your case, identify any misrepresentations or fraudulent activities, and vigorously advocate for your right to justice and rightful compensation.
If you have lost money due to negligence or fraud by a stockbroker or advisor, the easiest way to know if you have a case is to call our office at 800-732-2889. Here’s how our knowledgeable and experienced investment fraud law firm can advocate for you:
- 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.
- 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.
Can I Recover my Investment Losses in Wisconsin?
To recover your investment losses, you need to demonstrate that your broker-dealer or financial advisor either breached the Wisconsin Uniform Securities Law, violated their fiduciary duty to you as an investor, or acted negligently.
Na maioria dos casos, isso significa entrar com uma ação de arbitragem da FINRA contra a corretora e/ou o representante.
A maioria dos casos de fraude em títulos é tratada pela FINRA (Financial Industry Regulatory Authority) em vez de ser levada ao sistema judicial.
A arbitragem da FINRA é uma forma simplificada e econômica de resolver disputas entre investidores e seus corretores sem ir ao tribunal - ela também permite que você receba indenizações punitivas, que não estão disponíveis no tribunal civil.
Did You Know . . . Investment Fraud Attorney Robert Pearce Has Single-Handedly Collected Over $175 Million On Behalf of His Clients
Over the past two decades, Robert Pearce has successfully secured more than $175 million in recovery for his investor clients. Remarkably, he has achieved recovery of funds for over 99% of his clients, utilizing various methods such as settlements, arbitrations, and courtroom litigation.
No investment fraud firm can ever guarantee the same or similar results in any given case. However, when you hire the Law Offices of Robert Wayne Pearce, P.A., you can sleep well knowing you are in qualified and capable hands. Attorney Robert Pearce has represented hundreds of investors over his 45 year career and in the last 20 years alone recovered over $175 million for his investor clients.
Robert Pearce lutará por seus direitos dia após dia para obter a recuperação a que você tem direito.
O que um advogado especialista em fraude em investimentos pode fazer pelos investidores?

Um advogado especializado em fraudes de investimentos ajuda os investidores a recuperar perdas de investimentos que perderam devido a um consultor financeiro ou corretor que não agiu em seu melhor interesse. Normalmente, o advogado ajudará o investidor a recuperar suas perdas por meio de um processo chamado arbitragem da FINRA.
Perdas de investimento? Vamos conversar.
ou entre em contato conosco pelo telefone 800-732-2889.
Depoimentos de clientes
What Are the WI Statute of Limitations?
When dealing with investment fraud cases, acting quickly is crucial due to the statutes of limitations imposed by both Wisconsin and federal laws, which dictate the deadlines for filing legal claims. In Wisconsin, the general statute of limitations for fraud claims is three years from the discovery date.
On the federal level, securities fraud cases must typically be filed within five years of the violation or within two years of when the fraud could reasonably have been discovered. Consulting with an attorney promptly is essential to ensure that your claim is filed within the required timeframe.
Types of Investment and Securities Fraud Cases We Can Help Represent You With
In Wisconsin, investors face numerous types of investment fraud. Common schemes include unsuitable investments, where recommendations do not align with an investor’s needs, and forced liquidation, where brokers sell assets without warning or advising on margin calls.
Ponzi schemes promise high returns but are fraudulent. Excessive trading, or churning, generates commissions for advisors at the investor’s expense. Misrepresentation and omission involve deceptive information about investments. Breach of fiduciary duty occurs when advisors prioritize their interests over clients’.
Other prevalent frauds include unauthorized trading, failure to supervise, overconcentration, theft of client funds, mutual fund sales violations, excessive markups/markdowns, and selling away. Broker and advisor negligence, margin abuse, and conflicts of interest are also common.
Additionally, risky private placements, cryptocurrency fraud, 401(k) plan misconduct, microcap fraud, mining investment fraud, EB-5 program fraud, and advance fee schemes pose significant risks to investors in Wisconsin.
Entre em contato conosco hoje mesmo
The Law Offices of Robert Wayne Pearce, P.A., is a law firm specializing in representing defrauded investors recover. Wisconsin investment fraud lawyer Robert Wayne Pearce specializes in getting individuals their money back from bad investments using any and all available methods.
Se você é um investidor que recentemente sofreu perdas de investimento devido a possíveis fraudes em títulos ou investimentos, queremos ajudar.
If you have questions about how to move forward, contact our team online or call our Milwaukee office line a (800) 732-2889 for a free confidential consultation with a Wisconsin securities lawyer. We will fight aggressively for your financial recovery and for justice.
Nosso escritório de advocacia trabalha com clientes em todo o estado:
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.