Dedicated to Providing the Securities Fraud Advocacy You Deserve.
- Have You Been the Victim of Securities Fraud or Scam?
- Need to Recover Your Money From a Bad Broker?
- Do You Need a Strong Advocate in Your Securities Arbitration Case?
- Have You Been Duped by a Dishonest Stock Broker?
It's time to fight back! Riera Law puts the strength and knowledge of a former SEC prosecutor behind your fight to GET YOU MONEY BACK! Contact Riera Law Now - for a FREE consultation.
We at Riera Law are devoted to helping investors who have suffered financial harm due to investment fraud or misconduct. Securities fraud and investment fraud can have devastating financial consequences for victims. If you or a loved one are a victim, our team is equipped with skilled investor fraud and securities fraud lawyers who have the legal experience and knowledge needed to deal with and correct these injustices.
Riera Law - Knowledgeable, Tough, Professional
We understand what is at stake when investors come to us after they have suffered financial losses due to fraud, misconduct or negligence. Our team includes a former SEC prosecutor who is dedicated to the legal profession of securities law and has the unique skills and background to help.
Many investors place their trust and confidence in stockbrokers or financial advisors to make investments on their behalf. Sometimes, stockbrokers or financial advisors take advantage of their positions of trust and engage in dishonest misconduct. We handle investment fraud, broker misconduct and negligence claims such as:
- Asset Allocation
- Breach of Fiduciary Duty
- Churning
- Failure to Supervise
- Overconcentration
- Negligence
- Ponzi Schemes
- Theft of Investor’s Money
- Unsuitable Investment Advice
We offer a free initial review of your case. To request your free evaluation today, call us at 305-204-9779 or contact us online.
Riera Law Advocates for Harmed Investors
Skilled Securities Lawyers
Our deep knowledge means that we can easily understand and efficiently resolve disputes.
Vigorous Advocates
We will vigorously advocate to help you seek justice, no matter the challenge and we will not back down.
Client Commitment
We are committed to providing you exceptional service tailored to your needs.
Ready to fight for Success
We will aggressively fight for you to attain your goals.
We understand what is at stake when investors come to us after they have suffered financial losses due to fraud, misconduct or negligence. Our team includes a former SEC prosecutor who is dedicated to the legal profession of securities law and has the unique skills and background to help.
Many investors place their trust and confidence in stockbrokers or financial advisors to make investments on their behalf. Sometimes, stockbrokers or financial advisors take advantage of their positions of trust and engage in dishonest misconduct. We handle investment fraud, broker misconduct and negligence claims such as:
- Asset Allocation
- Breach of Fiduciary Duty
- Churning
- Failure to Supervise
- Overconcentration
- Negligence
- Ponzi Schemes
- Theft of Investor’s Money
- Unsuitable Investment Advice
We offer a free initial review of your case. To request your free evaluation today, call us at 305-204-9779 or contact us online.
Investment & Securities Law is Our Specialty
Unsuitable Investments
Lack of Diversification
Excessive Trading
Unauthorized Trading
Breach of Fiduciary Duty
Broker Negligence
Financial Exploitation
Misrepresentation & Omission
Free Consultations and No Recovery, No Fee Policy
Our unique client-centric approach to each case.
Our unparalleled experience and knowledge in the field.
Our uncompromising commitment to making our clients whole again.
Why Do Investment Fraud Victims Choose Riera Law?
We are committed to providing you a tailored approach with the aim to meet your specific needs from the first meeting to the closing of the case. Our aggressive approach for preparation will put you in a better position for a hearing, and also increases our chances of securing a larger settlement.
Jorge
Riera
MANAGING PARTNER
Profile
Former Senior Counsel for the Southeast Region of the U.S. Securities and Exchange Commission (SEC), focuses his Florida practice on securities fraud, investment fraud, broker misconduct and negligence claims.
Experience that Matters
As Senior Counsel at the SEC, Jorge led many high-profile enforcement actions, and received awards recognizing him for his exemplary work on investigations and his commitment to excellence.
Dedicated to Serving Harmed Investors
For years Jorge has dedicated his career to helping those harmed by fraudulent and negligent investment firms being made whole and recovering their personally devastating personal losses.
Get in Touch

Opening Hours

Business Hours
- Mon - Fri
- -
- Sat - Sun
- Closed