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 own financial interests ahead of yours, putting your life savings at risk? Victims of stock broker 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).
top of page
bottom of page