1300 SW Fifth Avenue
Suite 2135 Wells Fargo Center
Portland, Oregon 97201
Firm: Banks Law Office, OC
Our firm represents clients whose investments have been lost due to mismanagement of their accounts by stock brokers and investment advisors. Claims typically involve broker misconduct, misrepresenting investment risk, unsuitable portfolios, excessive commissions, unauthorized trading, hedge fund fraud, and other securities law violations.
Bob Banks has been practicing law for 28 years, and has dedicated his career to representing investors for the last 25 years – a cause he remains passionate about. He and his law firm represent investors in FINRA arbitrations and court to recover investment losses resulting from a misrepresentation of risks, negligent portfolio management, and fraud from broker-dealers, registered investment advisors, securities issuers, hedge funds, and lawyers and accountants who assist bad actors in perpetrating fraudulent investment scams. His credentials tell the story both
of his dedication to fairness in investment advisory practices and the respect the legal community has for his work.
Affiliations & Memberships:
Oregon, Massachusetts, Wisconsin. Practiced under pro hac vice rules with local counsel in other states including Washington, Idaho, California, New York and Florida. Member, Board of Directors, American Constitution Society, Oregon Chapter. Member, American Constitution Society National Federal Judicial Selection Committee. Member, Amicus Brief Committee, PIABA. Member, FINRA National Arbitration and Mediation Committee (NAMC). Chair, Rules and Procedures Subcommittee for FINRA NAMC.
Former marathon runner (2:46 PR), and current runner and fly fisherman.
Amy E. Goodblatt
Thomas A. Roman
Richard C. Hannegan
Estate Planning & Business Law (949) 794-4000
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