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Rodino & Associates
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Rodino & Associates, P.A. is a boutique law firm with a national practice dedicated to representing investors who have lost money due to stockbroker misconduct, fraud, or negligence. Founded by Scott L. Rodino, the firm focuses on handling claims through FINRA (Financial Industry Regulatory Authority) arbitration and other legal venues. Their mission is to help clients recover investment losses by holding brokerage firms and financial advisors accountable for their actions. The firm has a history of handling a wide range of securities-related cases, including unsuitable investments, churning, misrepresentation, and failure to supervise.
United States
Industry
Financial