The securities and investment fraud law firm Fitapelli Kurta, is interested in speaking to investors who have complaints regarding Concorde Investment Services, or any of tits brokers.
Concorde Investment Services is an independent broker-dealer firm. Concorde Investment Services was formed as a limited liability company in 2009. Concorde Investment Services’ main office is located at 1120 East Long Lake Rd., Suite 100 Troy Michigan. Concorde Investment Services is registered with both the SEC and FINRA and is licensed in 52 U.S. states and territories. Concorde Investment Services has over 120 financial advisors throughout the nation. Concorde Investment Services is primarily owned by Concorde Holdings, Inc.
REITs are investments which allow a company to use the combined money from a group of investors in order to purchase real estate property. Privately traded REITs expose investors to a number of risks including illiquidity, and lower dividends than the investment initially promised.
TICs, or tenant-in-common investments, are investments in real estate where investors own a certain percentage of the property as tenants in common. TICs are often used by way of a 1031 exchange in order to avoid accruing capital gains taxes on a sold peace of real estate. Nontraded TICs are not offered on a public exchange, and as such are highly risky and illiquid investments.
If you or someone you know has lost money investing with REITs, TICs, or other alternative investments through Concorde Investment Services, or any of Concorde Investment Services other brokers, you may be entitled to full recovery of your losses. The attorneys at Fitapelli Kurta prosecute cases on behalf of investors like you who have lost money as a result of unsuitable investments. These cases are taken on a contingency fee basis only, which means our firm will not receive any compensation whatsoever unless and until you recover money.
Cases are filed with the Financial Industry Regulatory Authority (FINRA) and will submit to arbitration. Fitapelli Kurta has filed hundreds of cases before FINRA and has recovered millions on behalf of investors who have fallen victim to broker misconduct. Do not delay. Call 877 – 238 – 4175 to speak directly to an attorney and further discuss the merits of your case.
Our consultations are always free.
Call 877 – 238 – 4175 now.