Negligent Securities

St. Louis Negligent Securites Attorney


If you’ve suffered financial losses due to the misconduct or negligence of a securities broker or financial advisor, our experienced team is here to help you explore your legal options and pursue the compensation you deserve.

Negligent securities practices can take many forms, including unsuitable investment recommendations, misrepresentation or omission of material facts, churning, unauthorized trading, and more. These actions can result in significant financial harm to investors, jeopardizing their financial security and future. At Jeff Rendel Law Group, we understand the complexities of securities law and the devastating impact that negligent practices can have on individuals and families.

We have a deep understanding of federal and state securities regulations and a proven track record of success in representing investors who have been harmed by negligent securities practices. We’ll conduct a thorough investigation into your case, review all relevant documents and transactions, and work tirelessly to hold the responsible parties accountable for their actions.

If you’ve been the victim of negligent securities practices, don’t wait to seek legal help. Contact us today to schedule a free consultation with one of our experienced securities law attorneys. Let us help you fight for justice and the compensation you deserve.