# Gregory Tendrich, P.A. > https://www.yourstocklawyer.com > Last Updated: 2026-06-19 Since 1992 Gregory Tendrich, Rated AV® Preeminent™ by Martindale-Hubbell® and a life member of the Multi-Million Dollar Advocates Forum® and the Million Dollar Advocates Forum®, has been an advocate for investors in cases involving unsuitable investments, unauthorized trading, stock fraud and other stockbroker abuses. He has represented hundreds of clients in FINRA arbitration proceedings and seeks full and complete recovery of an investor’s losses in every case he handles. When you choose him to represent you, Gregory Tendrich will undertake a comprehensive legal effort on your behalf. He will document your losses and the wrongdoings and misconduct of your broker or investment firm and seek to recover your losses. ## Contact - Phone: +1-561-417-8777 - Address: 3010 N. Military Trail, Suite 210, Boca Raton, FL 33431 ## Locations - Boca Raton, FL - +1-561-417-8777 Areas served: Florida ## Practice Areas - Investment & Securities Law - Broker & Brokerage Firm Law - Unsuitable Investments ## Attorneys - Profile: https://www.yourstocklawyer.com/attorney-profile/ Boca Raton securities arbitration attorney Gregory Tendrich can review your case and discuss your legal options. Contact us today. ## Key Pages - Homepage: https://www.yourstocklawyer.com/ - Attorneys: https://www.yourstocklawyer.com/attorney-profile/ - Blog: https://www.yourstocklawyer.com/blog/ - Contact: https://www.yourstocklawyer.com/contact-us/ ## Social Profiles - https://www.facebook.com/stockfraudlawyer - https://twitter.com/10drich - https://www.youtube.com/user/stockfraudlawyer - https://www.avvo.com/attorneys/33431-fl-gregory-tendrich-1276520.html ## Reviews - Rating: 5/5 based on 113 reviews ## Practice Area Details ### Florida Broker & Brokerage Firm Lawyer https://www.yourstocklawyer.com/florida-investment-securities-lawyer/broker-brokerage-law/ Gregory Tendrich has extensive experience in securities licensing and disciplinary matters, previously serving as in-house counsel for brokerage firms. ### Florida Investment & Securities Lawyer https://www.yourstocklawyer.com/florida-investment-securities-lawyer/ The Law Office of Gregory Tendrich, P.A. focuses exclusively on Florida investment & securities law & licensing matters, with over 18 years experience. ### Florida Unsuitable Investments Lawyer https://www.yourstocklawyer.com/florida-investment-securities-lawyer/unsuitable-investments/ Contact an experienced Florida unsuitable investment lawyer if you lost money because your broker or brokerage firm recommended financial products. ## Recent Articles ### LPL to Acquire Commonwealth – No Specifics Announced on Retention Bonuses https://www.yourstocklawyer.com/lpl-to-acquire-commonwealth-no-specifics-announced-on-retention-bonuses/ (2025-04-04) LPL Financial has agreed to acquire Commonwealth Financial Network, for $2.7 billion. The deal is expected to be finalized in the second half of 2025. ### Atria Wealth Solutions Advisors to receive Retention Bonus offers from sale to LPL Financial https://www.yourstocklawyer.com/atria-wealth-solutions-advisors-to-receive-retention-bonus-offers-from-sale-to-lpl-financial/ (2024-02-27) According to published reports, LPL Financial has finalized a deal to acquire Atria Wealth Solutions, an independent broker-dealer.    LPL has agreed to pay $805 million however, the price could rise to over $1 billion, with the retention of at least 80% of Atria’s brokers.   The deal is expected to... ### Show me the Money! Recruiting Bonuses of 400% of T12 are now a reality! https://www.yourstocklawyer.com/show-me-the-money-recruiting-bonuses-of-400-of-t12-are-now-a-reality/ (2022-09-21) According to a recent published article, firms including Wells Fargo Advisors, First Republic Bank and Steward Partners, have offered experienced high producers anywhere from 340% to 400% of trailing 12 month production due in large part to demand for advisors and increased competition. According to... ### “ARE YOU BEING TERMINATED DUE TO RULE 4111?” https://www.yourstocklawyer.com/are-you-being-terminated-due-to-rule-4111/ (2022-09-16) Is your firm considering terminating you due to the number of disclosures on your CRD or Brokercheck?   https://www.advisorhub.com/finras-one-time-offer-discharge-bad-brokers-and-avoid-restricted-designation  If so, it is vital that you speak to experienced counsel who can guide you through the proc... ### Did you invest in UBS’s Yield Enhancement Strategy known as YES? https://www.yourstocklawyer.com/did-you-invest-ubss-yield-enhancement-strategy-known-as-yes/ (2022-06-30) If so, you may be able to participate in the $17.4 million civil penalty which UBS has agree to pay to distribute to harmed investors. If you have lost money by investing in the YES program, contact Gregory Tendrich at (561) 417-8777 for a review of your case and a discussion of your legal options. ... ### FINRA cracks down on unapproved WhatsApp communications https://www.yourstocklawyer.com/finra-cracks-down-on-unapproved-whatsapp-communications/ (2022-06-29) Published reports indicate that FINRA has begun to crackdown on advisors (and the firms who they are affiliated with) who use this popular app to communicate with customers. It is especially popular with foreign clients. The problem stems from the fact that most firms are unable to capture or monito... ### Outside Business Activities – Duty to Disclose and Obtain Firm Approval https://www.yourstocklawyer.com/outside-business-activities-duty-to-disclose-and-obtain-firm-approval/ (2022-06-28) According to published reports, FINRA recently took action against an advisor for failing to disclose an outside business he established while at the firm. In addition to establishing the new company, the advisor, Patrick R. Murray, while associated with UBS Wealth Management USA, made capital contr... ### Brokers Beware! Firms are starting to terminate brokers with “significant history of misconduct” https://www.yourstocklawyer.com/brokers-beware-firms-are-starting-to-terminate-brokers-with-significant-history-of-misconduct/ (2022-05-18) In order to comply with new FINRA Rule 4111, and not be designated a “Restricted Firm," firms are starting to terminate brokers and advisors who have multiple  “disclosure events” and/or have a history of being associated with expelled broker dealers.    According to a recent published report, many ... ### UBS files arbitration claim against one of its former advisors, Robert E. Turner, seeking to recover $17mm in customer losses from “sham” investment, Fairfax Financial Corporation. https://www.yourstocklawyer.com/ubs-files-arbitration-claim-against-one-of-its-former-advisors-robert-e-turner-seeking-to-recover-17mm-in-customer-losses-from-sham-investment-fairfax-financial-corporation/ (2022-05-12) According to published reports, UBS has filed a FINRA arbitration seeking to recover losses it expects to pay to customers of the firm who were duped into purchasing a "sham outside investment” Fairfax Financial Corporation. According to the article, Turner allegedly persuaded 23 clients to purchase... ### FINRA gets tough on Private Securities Transactions https://www.yourstocklawyer.com/finra-gets-tough-on-private-securities-transactions/ (2022-04-01) In a published article, FINRA suspended a former independent advisor with Ameriprise Financial, Jonathan M. Turner, for three months and imposed a $5,000 fine for failing to provide written notice to the firm that he participated in a private securities transaction in violation of FINRA Rules 3280 a... --- Detailed version — see https://www.yourstocklawyer.com/llms.txt for summary Generated by MileMark Schema Pro