As an investor, you have a right to expect your broker or investment advisor to behave in an ethical and responsible manner. In too many cases, however, the people we trust to invest our money and protect our retirement funds take actions that serve their own interests instead of the investor’s. In cases like these, the need for sound, aggressive legal representation is critical. At the Sonn Law Group, we are passionate about protecting the interests of investors who have been wronged by their investment advisors or stockbrokers. Our South Florida FINRA arbitration lawyers handle a wide variety of investment and stockbroker fraud cases. From our offices in Miami, we represent clients throughout the United States, Mexico and South America.