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Investment and Insurance Fraud

Theft Doesn't Always Occur at the End of a Gun, Sometimes It Happens With a Lie and a Pen.

The Sever Storey Law Firm concentrates part of its practice in the field of securities and insurance fraud and malpractice.  This focus enables the firm to be particularly sensitive to the multiple stresses and needs that individuals and families confront when engaging in the securities litigation process.  Philip D. Sever is the owner and originator of the Sever Storey Law Firm and has been helping families as an attorney since 1996.  Mr. Sever is also a former broker at Salomon Smith Barney where he was a certified guided portfolio manager and financial consultant.  This unique blend of legal and financial background creates a strong combination when helping clients who have been subject to broker malpractice.

Phil Sever currently represents numerous clients in actions against brokerage firms such as, American General Securities, Salomon Smith Barney, Merrill Lynch, Morgan Stanley Dean Witter, Walnut Street Securities, Wachovia Securities, Prudential Securities, American Express Financial Advisors, Intersecurities, Inc., McDonald Investments, National City Investments, UBS Paine Webber and others. Losses alleged in these cases have ranged from fifty thousand to several millions of dollars.

On this page you will find a variety of resources that can assist you in the complex issues that surround securities malpractice and fraud.  If you have any questions at any time, please feel free to contact our office directly.

Links and Resources

Exchanges and Related Sites

Investor-Related Organizations

Government

Other Securities-related Websites

Investment Insurance and Securities Articles