Close Menu
Free Consultation: 888-976-6111
Home > Case Types > Advisor Negligence

Advisor Negligence

Financial advisors and investment advisors owe a “duty of care” to their clients. This means that they must be reasonably careful when dealing with clients. Financial advisor negligence occurs when an advisor breaches this duty by doing (or not doing) something that a reasonably prudent financial advisor would do under similar circumstances.

Negligence can occur when an advisor recommends unsuitable investments or fails to diversify a portfolio. It can also occur when a financial advisor or brokerage firm fails to conduct adequate due diligence on an investment it recommends. Failure to perform ongoing monitoring of investments recommended to clients would also be considered negligence. In addition, a brokerage firm’s failure to supervise its financial advisors is also negligent behavior.

Under the law, when an investor suffers harm due to a financial advisor or brokerage firm’s negligence, the advisor can be held liable and the investor is entitled to recovery.

Please contact us for a free and confidential case evaluation if you believe that you are a victim of advisor negligence.

Contact Us For A Free Case Evaluation
protected by reCAPTCHA Privacy - Terms
Latest Blog Posts
  • Trevor Uhls: FINRA Bars Former MML Advisor

    Former MML Investors Services representative Trevor Uhls (CRD# 6872250) has been sanctioned and barred by the Financial Industry Regulatory Authority...

    Read More
  • Jordan Grangard: RBC, Ex-UBS Advisor Faces Improper Trading Complaint

    Las Vegas financial advisor Jordan Grangard (CRD# 6097246) allegedly failed to follow client instructions, according to a recent investor complaint....

    Read More
  • Bob Reese: $500K Complaint Against Ex-Secure Capital Advisor

    Charlotte, North Carolina financial advisor Bob Reese (CRD# 5880465) allegedly misrepresented investments, according to a recent investor complaint. Financial Industry...

    Read More
  • Ben Carmona: $200K Complaint Against Perch Wealth Advisor

    San Juan, Capistrano financial advisor Ben Carmona (CRD# 5120428) allegedly violated industry rules, according to a recent six-figure investor complaint....

    Read More
  • Previous
  • Next