Free Case Evaluation

Have you suffered investment losses caused by stockbroker negligence, improper advice, neglect or fraud?

Call us for a free evaluation at (212) 658-0458 or send an e-mail below with your contact information. We will evaluate your situation and advise if you may have a claim to recover your financial losses.

Welcome to Carmel, Milazzo & DiChiara LLP

CMD is a nationwide leader representing investors in securities litigation, FINRA arbitration
and AAA arbitration claims throughout the United States.

Our securities lawyers litigate all types of securities disputes:

• accounting fraud or negligence
• investment advisor litigation
• private placement litigation
• private equity litigation
• financial institution litigation
• hedge fund litigation
• mutual fund litigation
• failure to supervise
• breach of fiduciary duty
• self-dealing

• oil and gas partnerships
• Tenants in Common (“TIC”) 1031 Exchange litigation
• closed-end bond funds
• open-end bond funds
• stock litigation
• investment products litigation including real estate investment trusts (“REITs”)
• leveraged exchange traded funds (“ETFs”)

Located in the heart of Manhattan, CMD combines large law firm expertise with the attention and service of a boutique firm. With over 40 years combined experience, our skilled attorneys are committed to legal excellence, using the right combination of aggressive advocacy and tactical decisions to obtain successful results.

We also represent securities industry employees in U.S. Securities & Exchange Commission, FINRA and employer investigations and disputes. Both investors and large securities industry whistleblowers and subpoenaed witnesses have been represented by our attorneys at the U.S. Securities & Exchange Commission, Department of Justice, and FINRA.