Attorney Profiles

         Randall R. Heiner

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Utah Securities Attorney, variable annuity attorney, variable annuities attorney, Utah stock fraud lawyer, securities arbitration attorney Utah, Salt Lake City, Utah securities misconduct attorney, securities mediation lawyer, securities attorney representing investors and investor protection attorney & lawyer, Utah stock litigation attorney, NASD FINRA arbitration lawyer in Salt Lake City, Ogden, Provo, and St. George, Utah securities arbitration, investment misconduct attorney, Utah securities attorney reprerenting victims of unsuitable investments
 
Randall R. Heiner, known for his zealous representation of his clients, is a dedicated and experienced trial and arbitration securities attorney. He has more than 30 years of combined experience in retail securities and attorney representation of client investment losses. His office is headquartered in Salt Lake City, Utah, where for the past 15 years, he has focused his practice representing claimants in securities lawsuits and arbitrations.

Because of the unique aspect of securities claims against brokerage firms, if you live anywhere in Utah, including St. George, Provo, Orem, Odgen, Brigham City, or Logan, the case is held In Salt Lake City, Utah. After speaking to you on the telephone, if Mr. Heiner believes your case has merit, he will meet you in your city to discuss your case further, free of charge, before entering into an attorney client relationship.

Mr. Heiner has rich experience in the securities industry. After he first became a stockbroker in the 1970s, he went on to form his own full service, self clearing broker dealer where he developed extensive background in securities and financial markets. During his securities career, Mr. Heiner owned and operated three FINRA member brokerage firms that specialized in stock recommendations to the public and by providing investment banking services to companies desiring to be publicly traded. These firms were fully licensed by the United States Securities and Exchange Commission. During year 1987, his firm employed approximately 70 full time stockbrokers and 10 support staff, and cleared transactions for other NASD member firms.

Mr. Heiner obtained the following licenses, which first required that he pass rigorous written tests: Series 7 General Securities; Series 24 General Securities Principal; Series 4 Registered Options Principal; Series 27 Financial and Operations Principal; and Series 63 state blue sky licenses. These licenses, augmented with the twelve years of hands on experience of supervising brokers and operating full service brokerage firms, allow him to understand the issues of your case. He has personally interviewed, hired, and trained hundreds of stockbrokers.

Soon after joining the Utah State Bar in 1996, Mr. Heiner formed Heiner Law Offices, whose practice has been devoted to representing investor’s rights. He has served on an advisory committee for the Utah Securities Division and has filed hundreds of cases on behalf of victims of securities fraud in Utah.

Mr. Heiner has great experience with many brokerage firm defense counsel both locally and nationally, and he has mediated securities cases for his clients all over the country. Contact us for a free consultation.
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