Activate map
Specialties
We are experienced Los Angeles stockbroker attorneys, representing brokerage firm customers having disputes with brokers and brokerage firms.
James A. Sigler, Principal
James A. Sigler has represented victims of bad stockbrokers for more than a dozen years. Practicing law since 1994, Mr. Sigler’s law practice is focused on securities disputes. He has successfully pursued claims against the largest nationwide brokerage firms, including Merrill Lynch, Morgan Stanley Dean Witter, and UBS Financial Services (formerly, PaineWebber), as well as numerous smaller regional brokerage firms.
Mr. Sigler holds Bachelors of Science, Masters of Business Administration, and Juris Doctorate degrees, and is licensed to practice in all California State and Federal Courts. Mr. Sigler is also an arbitrator with the Financial Industry Regulatory Authority (FINRA), the American Stock Exchange, and the Pacific Stock Exchange.
History
Established in 1994.
James A. Sigler has represented victims of bad stockbrokers for more than a dozen years. Practicing law since 1994, Mr. Sigler’s law practice is focused on securities disputes. He has successfully pursued claims against the largest nationwide brokerage firms, including Merrill Lynch, Morgan Stanley Dean Witter, and UBS Financial Services (formerly, PaineWebber), as well as numerous smaller regional brokerage firms.
Meet the Business Owner
James S.
Business Owner
James A. Sigler holds Bachelors of Science, Masters of Business Administration, and Juris Doctorate degrees, and is licensed to practice in all California State and Federal Courts. Mr. Sigler is also an arbitrator with the Financial Industry Regulatory Authority (FINRA), the American Stock Exchange, and the Pacific Stock Exchange.