Glenn Mazer
Business / Contracts, Business Formation, Securities, Wills, Trusts, & Probate (Transactional/Litigation)
Birmingham, Alabama
Personal Introduction
Glenn Mazer has 20 years of experience in the financial services industry. He was a licensed registered representative through FINRA and a licensed registered investment advisor through the Securities and Exchange Commission. He has worked at major brokerage firms like Morgan Stanley, as well as smaller firms. Glenn had seen enough wrongdoing and fraud that takes place by those who are entrusted with their client's life savings, which is what lead him to practice law. He knows who the wrongdoers are, how they operate, and where they operate. This gives his client's the benefit of practical and knowledgeable representation based on his first hand experience.
Practice Composition
Transactional/Litigation
Education
Practice Summary
GLENN REPRESENTS INVESTORS THROUGHOUT THE UNITED STATES WHO HAVE BEEN DEFRAUDED BY THEIR BROKER/ADVISOR. BROKERS/ADVISORS OFTEN MAKE RECOMMENDATIONS TO CLIENTS THAT ARE UNSUITABLE FOR THE CLIENT, BUT SUITABLE FOR THE BROKER/ADVISOR IN THE WAY OF ENORMOUS COMMISSIONS. BROKERS AND ADVISORS OFTEN RECOMMEND UNSUITABLE, ILLIQUID INVESTMENTS THAT PROMISE TO PAY HIGH DIVIDENDS BUT END UP NOT PAYING DIVIDENDS AND THE INVESTOR CAN NOT GET THEIR MONEY OUT. TRUSTING INDIVIDUALS AND SENIOR CITIZENS RELY ON THEIR BROKER/ADVISOR TO MANAGE THEIR LIFE SAVINGS, THEY LET THEIR GUARD DOWN AND TOO OFTEN BECOME VICTIMS OF INVESTMENT FRAUD. Glenn's practice also includes Captive Insurance Company Formation, Business Formation, Contracts.
Response Time
1 day
Affiliations
Birmingham Bar Association
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