About Us

At Scott Hirsch Law Group, PLLC we are a boutique plaintiff’s securities litigation and consumer protection law firm. Our firm fights for the rights of all individuals and is proud to be the Davids fighting the Wall Street Goliaths. We are committed to helping investors recover financial losses caused by misconduct from stockbrokers or financial advisors.

Tired of Wall Street Bullying? 

Scott Hirsch Law Group is your champion. We're a small, but powerful law firm specializing in getting justice for everyday investors like you. We've helped people nationwide recover millions from bad stockbrokers and financial advisors*. Our experienced securities lawyers fight relentlessly to get you the money you deserve. 

Every case gets our full attention. We only work on contingency, so you won't pay unless we win. We take pride in helping people who wouldn't have a voice otherwise. Let us help you get back what's rightfully yours. 

*Prior results do not guarantee a similar outcome 

Investor Protection – Securities Litigation and Arbitration 

Securities arbitration is used to resolve the majority of customer claims brought against their broker or financial advisor for acts of misconduct or fraud in the handling of their account.  

As a customer of a brokerage firm, you are required to sign an agreement mandating arbitration to govern all disputes. The Securities and Exchange Commission (SEC) has empowered the Financial Regulatory Authority (FINRA), an organization tasked with investor protection, to be the forum to hear all customer disputes involving their brokerage accounts.

Examples of the most frequently encountered types of misconduct include trading accounts without clients’ authorizations (unauthorized trading), making investment recommendations inconsistent with clients’ investment objectives (unsuitability), and unauthorized and/or excessive use of margin.  

Serving investors nationwide in FINRA Arbitration, the Scott Hirsch Law Group has represented thousands of investors and recovered millions of dollars from Wall Street brokerage firms on their behalf. 

Consumer Protection

We fight for consumers who have been wronged by companies. Our firm takes on major corporations that violate consumer protection laws, including product defects, junk fees, overcharging, deceptive marketing, and data breaches. Typically, these sorts of cases are brought on a class action basis, where a few consumers join together to fight against a common wrong by a corporation. We aim to help consumers nationwide and take these cases solely on a contingency basis.   

Focused on Helping You

We represent investors nationwide in handling securities fraud claims. Our team of experienced securities attorneys has a proven track record in recovering millions of dollars for our clients. While we handle a wide range of securities cases, many involve retirement funds. We offer personalized attention and will fight tirelessly to recover your investment losses. We take these cases solely on a contingency basis and take great pride in gaining meaningful relief for people who may otherwise never get any.   

If you've lost money due to stockbroker misconduct or financial advisor fraud, we can help you through the legal process and fight relentlessly to get your investment losses back. 

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