Close Menu
Free Consultation: 888-976-6111
Home > Chase Carlson > About Us

Carlson Law, P.A., is a Florida and New York-based law firm dedicated to representing investors across the nation and around the world who have suffered losses due to the wrongful actions of financial advisors.

Our team of experienced attorneys is passionate about standing up for the rights of investors who have been wronged by those who are supposed to act in their best interests. We understand the complex financial systems and regulations that govern the investment industry, and we are committed to helping our clients navigate the legal system to seek justice and recover their losses.

At Carlson Law, we pride ourselves on providing personalized attention and exceptional service to each of our clients. We take the time to understand their unique situations and work tirelessly to develop a customized strategy that meets their specific needs and goals. Our attorneys are highly skilled litigators and negotiators, and we have a proven track record of successfully representing clients in a wide range of investment-related disputes.

Whether you are an individual investor, a group of investors, or an institutional investor, we are here to help. We have experience representing clients in a variety of matters, including securities fraud, negligence, breach of fiduciary duty, unsuitable investment advice, and more. Our goal is always to achieve the best possible outcome for our clients, whether that means negotiating a settlement or going to trial.

If you have suffered losses due to the wrongful actions of a financial advisor, we are here to help. Contact us today to schedule a consultation and learn more about how we can assist you in seeking justice and recovering your losses.

Contact Us For A Free Case Evaluation
protected by reCAPTCHA Privacy - Terms
Latest Blog Posts
  • Jason Walsh: $3.7 Million Complaint Against Ex-Network 1 Advisor

    Hauppauge, New York financial advisor Jason Walsh (CRD# 5758243) is involved in an investor complaint alleging damages of more than...

    Read More
  • Colin Mansfield: $300K Complaint Against Global Wealth Advisor

    A recent investor complaint against San Jose financial advisor Colin Mansfield (CRD# 4643275) alleges six-figure damages resulting from misconduct. Records...

    Read More
  • Samuel Sutterfield: Elevate Wealth Advisor Denies $100K Bond Complaint

    Centaurus Financial advisor Samuel Sutterfield (CRD# 5988560) is involved in an investor complaint alleging $100,000 damages stemming from investments in...

    Read More
  • Nate Goldenberg: NextWave Advisor’s Client Listed as GWG Creditor

    Records filed with a US bankruptcy court disclose that at least one current or former client of NextWave Financial advisor...

    Read More
  • Previous
  • Next