When you trust your hard-earned savings to a stock broker, you expect to work with a professional who represents your best interests at all times. But what happens when a stock broker puts his financial interests ahead of yours, putting your life savings at risk? Victims of stockbroker misconduct and fraud deserve strong and effective representation. Peter C. Rageas is a board-certified arbitrator for the Financial Industry Regulatory Authority (FINRA).
Peter C. Rageas specializes in Securities Litigation. He is a Certified Public Accountant and holds a Masters degree in Taxation. He has practiced business law in the Metropolitan Detroit area for over 20 years. Prior to practicing law Mr. Rageas was a practicing CPA at Coopers & Lybrand (now part of Pricewaterhouse Coopers).