Representation of Aggrieved investors to recover losses from unsuitable investment recommendations. Broker and investment advisor records are now public through the FINRA Broker Check database. We assist brokers seeking expungement of negative disclosures on forms U4 and U5. Gonser Law PC handles mediations involving securities disputes between investors and their financial advisors.
Broker/Dealer Insurance Evaluation - Coverage assessment in connection with broker dealers E&O Policies. Representation of Financial Professionals in connection with employment disputes with former firm and assistance with FINRA registration issues. Robert Gonser, founder of Gonser Law PC has depth of experience in the practice of securities arbitration.
Broker/Dealer Insurance Evaluation - Coverage assessment in connection with broker dealers E&O Policies. Representation of Financial Professionals in connection with employment disputes with former firm and assistance with FINRA registration issues. Robert Gonser, founder of Gonser Law PC has depth of experience in the practice of securities arbitration.
Services
Since 1990, Mr. Gonser has practiced in the securities area. Since 1995, Mr. Gonser, who started his career with a major defense firm in San Francisco representing brokers and national brokerage firms, utilizes his many years of defending those firms as well as his time defending many financial advisors to assist public customers who have been damaged by improper and illegal sales practices.
Investors rely on the expertise and integrity of reputable stockbrokers, financial advisors, and brokerage firms to manage their accounts. When they suffer losses related to deceptive practices or securities fraud, they should seek the guidance of a skilled securities attorney with a proven track record of success.
Broker and investment advisor records are now public through the FINRA Broker Check database at www. FINRA.org and accessible by all investors. Brokers or Advisors with a negative entry on their registration, be it an adverse arbitration award, a lien filing or a termination from a member firm for example, are less likely to be hired to manage an investor's assets and damages his/her reputations.
Mr. Gonser calls upon his 26 years of hands on experience representing both broker dealers and hundreds of public customers to participate in and act as a mediator in investment disputes.
Having appeared as an advocate before numerous PSE, NYSE, NASD and FINRA arbitration panels and having participated in hundreds of mediations nationwide, Bob offers invaluable perspective to the parties' case assessment and risks associated with taking the matter to hearing.
Having appeared as an advocate before numerous PSE, NYSE, NASD and FINRA arbitration panels and having participated in hundreds of mediations nationwide, Bob offers invaluable perspective to the parties' case assessment and risks associated with taking the matter to hearing.
Mr. Gonser pursues insurance coverage for policyholders seeking coverage under liability and property insurance policies, including the following types of policies: comprehensive general liability, excess or umbrella liability, directors and officers, errors and omissions and business interruption coverage.
Reviews (1)
Elena C.
Feb 06, 2017
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My home insurance denied a water damage claim, so I called Mr. Gonser to seek legal advice. He returned my call immediately and gave me advice over the phone on what I could do on my own. If that did not work, he offered to help me pursue my insurance company. I was able to settle my claim, thanks to his advice. Mr. Gosner's honesty and kindness restored my faith in his profession. If your looking for a good attorney, he's your man. If I ever need to retain an attorney, he's the first person I'll call. Thanks!!