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Brian P. Biggins & Associates Co., L.P.A. is dedicated to the representation of investors who have realized significant losses of their invested capital due to stockbroker malpractice.

In the unpredictable and complex world of the Stock Market, Brian P. Biggins & Associates has been one of the front running law firms in the nation dedicated to holding brokerage firms responsible for unlawful acts of their brokers and financial advisors. In cases such as Unauthorized Trading, Unsuitable Recommendations, Excessive Trading and Fraud, to only mention a few, our firm has recognized and achieved the heightened level of knowledge required to litigate these types of claims.

With many years of experience in the brokerage industry, Brian P. Biggins utilizes his ample experience to lead an office of attorneys in the pursuit of excellence in litigating and arbitrating securities cases. Our firm is sensitive to the financial hardships bestowed on investors as a result of stockbroker misconduct and we always take this into consideration in our effort to minimize litigation costs and handle each case with efficiency and focus.

Please contact our office with any questions concerning losses in your account.


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