Law Offices of Peter C. Rageas & Associates, P.C.

Law Offices of Peter C. Rageas & Associates, P.C.

Specializing in Real Estate and Business Transactions and in securities fraud and stock broker misconduct, Peter C. Rageas, in addition to being a lawyer, is a certified public accountant and holds a masters degree in taxation.

Firm Overview

Peter C. Rageas is a Certified Public Accountant and holds a Masters degree in Taxation. He has practiced law in the Metropolitan Detroit area for over 20 years. Prior to practicing law Mr. Rageas was a practicing CPA at Coopers & Lybrand (now part of Pricewaterhouse Coopers). If you believe that you or a loved one has been harmed by an investment advisor or stockbroker, please contact our firm today. Mr. Rageas specializes in representing victims of stockbroker and investment fraud. If you feel that a stock broker or investment adviser has put his or her own financial interests ahead of yours, and has violated the trust that they represent your best interests at all times - please contact Peter Rageas for consultation. Specialties Securities Fraud; Securities Litigation; Stock Broker Misconduct; Stock Broker Malpractice; Business Law; Limited Liability Company Law; Closely Held Business Law; Small Business Law; Business Litigation; Business Formation; Buying and Selling of Businesses; Franchising; Employment Contracts; Breach of Contract; Contracts; Collections; Tax Appeals; Tax Audits; Tax Controversies; Tax Evasion; Taxation; Tax Fraud; Criminal Tax Audits; Criminal Taxation; Accounting Law; Non-Profit and Charitable Organizations; Civil Litigation; Commercial Litigation; Landlord and Tenant Law; Non-Profit; Commercial Law; Litigation; Mortgages

Main Office

Law Offices of Peter C. Rageas & Associates, P.C.
400 Monroe Street
Suite 620
Detroit MI 48226

Phone

(313) 962-7777

Fax

Websites

peterrageas.com

Fees

Office Information

Business

Stockbroker Misconduct

Did stock broker misconduct, stock broker malpractice or negligence, stock broker abuse or stock broker greed result in a loss of over $50,000 with a full service stock broker (not an on-line broker)? Call for a free no obligation phone consultation. Typical claims involve one of the following: 1. Unsuitable recommendations for you. 2. Stock Broker Malpractice in an account the broker managed for you. 3. Excessive commissions charged or earned. 4. Churning your account. Frequent sales and purchases. 5. Failure to execute trades when ordered. 6. Fraud or theft of money. 7. Variable Annuities or Sub-prime debts in IRA or 401K.

Peter C. Rageas

Law Offices of Peter C. Rageas & Associates, P.C.

Practice Areas
Securities Fraud; Securities Litigation; Stock Broker Misconduct; Stock Broker Malpractice; Business Law; Limited Liability Company Law; Closely Held Business Law; Small Business Law; Business Litigation; Business Formation; Buying and Selling of Businesses; Franchising; Employment Contracts; Breach of Contract; Contracts; Collections; Tax Appeals; Tax Audits; Tax Controversies; Tax Evasion; Taxation; Tax Fraud; Criminal Tax Audits; Criminal Taxation; Accounting Law; Non-Profit and Charitable Organizations; Civil Litigation; Commercial Litigation; Landlord and Tenant Law; Non-Profit; Commercial Law; Litigation; Mortgages

Admitted: 1993, Michigan and U.S. District Court, Eastern District of Michigan

Law School: Michigan State University College of Law, J.D.

Member: Detroit and Dearborn Bar Associations; State Bar of Michigan; Hellenic Bar Association; American Association and Attorney-CPA's (President, Michigan Chapter); PIABA (Public Investors Arbitration Bar Association).

Biography: Certified Public Accountant, Michigan, 1989.

Born: Dearborn, Michigan

Languages: Greek

Education

Michigan State University College of Law
Juris Doctorate ,

* Nolo has confirmed that every member attorney has a valid license and is in good standing with the state agency that licenses lawyers. Any past disbarments and suspensions (with possible exceptions for minor violations or nonpayment of dues, in our discretion) will be indicated accordingly in the badge. Member attorneys are required to notify Nolo immediately if they become the subject of any disciplinary action by any state licensing agency.