Attorney Biography
Justin Sauerwald divides his practice is between representing individuals and groups of investors in FINRA securities arbitrations against brokerage firms, and representing plaintiffs in a variety of class actions involving ERISA violations and securities transactions. These cases involve misconduct such as fraud, negligence, breach of fiduciary duty, failure to supervise, unsuitable recommendations, failure to disclose conflicts of interest and other violations of state and federal securities laws and regulations. Mr. Sauerwald is admitted to practice law in New York, New Jersey, and Florida.