Law FirmSpecialized Legal AssistanceSecurities Law
Kurta Law is a securities and investment fraud law firm representing investors who have suffered losses due to broker misconduct, unsuitable investment recommendations, securities fraud, and financial advisor negligence. The firm handles FINRA arbitration claims involving unauthorized trading, breach of fiduciary duty, elder financial abuse, overconcentrated portfolios, Ponzi schemes, and failure to supervise. Led by attorney Jonathan Kurta, the firm helps investors nationwide pursue recovery from brokerage firms and financial institutions through personalized representation and free case evaluations.
The Kurta Law firm graciously accepted my participation in a class action lawsuit that helped me face the truth about the serious loss of my retirement savings. Their guidance was provided in a patient and orderly manner. Though this experience has been difficult, the outcome was very favorable, and obtained through the highest level of legal services offered by the Kurta Law team.
SR
Sandra Rose
Jun 1, 2026
5.0
I do appreciate Kurta Law!
Thank you so very much!
5 Stars! 🌟
JC
James Chesters
Jun 1, 2026
5.0
We are very happy with the outcome achieved by this team! They kept us informed during the entire process and worked diligently to obtain a fair judgement. Very professional, courteous, and compassionate every step of the way.
MJ
Matthew Jackson
Mar 14, 2026
5.0
I can’t say enough good things about this attorney. They took the time to really listen to my situation and gave me straightforward, honest advice without any sugarcoating. I appreciated their clear communication and genuine concern for helping me understand my options. It’s rare to find someone who’s both knowledgeable and down-to-earth. I truly value the time they spent walking me through everything.
BN
Bonnie Nikituk
Feb 6, 2022
5.0
We are happy to provide a 5 star review for Kurta Law.
Although the object of our case was complicated, and quite
upsetting for us as it impacted a large portion of our stock holding,
Jonathan Kurta was the perfect person for the job.
He guided us through the process and was successful in getting a great settlement for a situation where we had no hope.
Jonathan was always responsive in a timely fashion.
His work made an otherwise horrible legal issue come to a good outcome for us.
We are thankful for Jonathan's expertise, efforts, personality and his work ethic.
Thank you Jonathan.
Thank you Kurta Law.
Fondly,
John and Bonnie Nikituk
Securities fraud, also known as stock fraud, is a deceptive practice in financial markets where investors are misled into buying or selling investments based on false, misleading, or incomplete information.
The term “security” refers to a broad range of investment products, from stocks and bonds to initial coin offerings (ICOs). The SEC defines a “security” as “an investment of money in a common enterprise, with the reasonable expectation of profits to be derived from the efforts of others.” The term “fraud” refers to any type of act or omission intended to cause or that may cause financial harm to unsuspecting investors.
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