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Stock broker fraud attorney David Chase represents investors around the country and has recovered millions of dollars for his clients that were victims of stockbroker fraud, misconduct, and mismanagement.

David Chase worked in the Enforcement Division of the U.S. Securities and Exchange Commission, ultimately obtaining the title of Senior Counsel. For part of that time, Mr. Chase served as a Special Assistant United States Attorney in the U.S. Attorney’s Office – Economic Crimes Division in the Southern District of Florida. While a Government prosecutor handling exclusively securities fraud cases, Mr. Chase was involved in matters involving insider trading, Ponzi schemes, market manipulations, municipal bond fraud, and broker-dealer retail sales practice violations.

After leaving the SEC, Mr. Chase has run his own law firm, focusing exclusively on defending those under SEC, FINRA and state securities investigations and prosecutions, and fighting for the rights of defrauded investors in cases to recover their financial losses.