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Articles
FINRA Complaint Filed Against John W. Cutshall
Harold Connell of CP Capital Securities Barred and Expelled by FINRA
Richard Foster Fined and Suspended for Six Months
Eckstein Named as Respondent in FINRA Complaint
LaMarre Fined and Suspended for Unsuitable Recommendations
OHO Issues Decision Regarding David O. Braeger
Complaint Filed Against Meyers Associates and Two of It’s Brokers
Jay Jordan Barred From FINRA
Scott Sibley Barred From FINRA
Cecil Ernest Nivens Named in FINRA Complaint
Ultralat Capital Markets, Inc. Censured and Fined by FINRA
Alejandro Falla (Miami, Florida) Barred From Acting as Broker and Associating with Any FINRA Member in Any Capacity
LPL Financial Fraught with Allegations of Supervisory Failures
Total Wealth Management Sanctions Kickbacks
U.S. Attorney’s Office Files Parallel Action in Response to Previous CFTC Fraud Charges
Judge Orders Attorney to Pay Nearly $4 Million in Prime Bank Investment Scheme
Florida Transfer Agent Charged by SEC with Defrauding Investors
Goldman Sachs Group, Inc. to Face Judge in September
Oppenheimer Advisor Targets Elderly Widow
FINRA Questioning Brokerage Firm “Culture”
Barred Investment Advisor Swindles Clients for Nearly $9 Million
UBS Continues to Face Controversy Over Puerto Rico Muni Bonds
Rafferty Capital Markets Enables Unregistered Firm to Engage in Illegal Trades
Private Fund Manager Charged by SEC for Theft of Investor Funds
FINRA Castigates Prodigious Morgan Stanley Smith Barney for Supervisory Failures
Feds, SEC Tag Qualcomm Managers for Insider Trading
Barred Stock Broker Dupes Investors in Florida Real Estate Deal
SEC Landmark Non-prosecution Deal in Insider Trading Racket
Widespread “Expert Networks” Investigation by SEC Snags Dozens for Insider Trading
SEC and Homeland Security Squash TelexFree Pyramid Scheme
Transamerica Financial Advisors Breakpoint Discounts? Nor for Everyone
Defunct Direct Access Partners Scuttled by Shady Practices
IT Giant Hewlett-Packard Charged with FCPA Violations
FINRA Fines LPL Financial Nearly $1,000,000 for Supervisory Short-Falls
Florida-based YouTube Ponzi Scam Draws Attention of SEC, Criminal Authorities
Bitcoin Continues to Be of Concern to Regulatory Authorities
Two Guys Walked into a Bar: Investment Broker, Law Clerk, and “Middleman” Bilk $5.6 Million Through Insider Trading
Puerto Rico Municipal Bonds: Not Just Another Muni
UBS Puerto Rico, Executives Shill Investors
International Pyramid Scheme Gouges Investors Through Use of Social Media
Berthel Fisher and Affiliate, Securities Management & Research, Fined $775,000
Global Conglomerate, Credit Suisse Group AG, Fined for SEC Violations
AML Violations Lead to Historic Penalty for Brown Brothers Harriman
SEC Takes Action to Minimize Microcap Fraud: Targets Hundreds of Shell Companies
Know Your Stock Attorney
Legg Mason Affiliate Charged with Defrauding Clients
SEC’s Risk Alert Regarding Alternative Investments Due Diligence
KPMG Violates Directives Regarding Auditor Independence
FINRA Investor Alert
February 2012 FINRA Florida Disciplinary Actions
January 2012 FINRA Florida Disciplinary Actions
FINRA Issued Investor Alert on Public Non-Traded REITs
SEC Implements Whistleblower Award Program
FTC Shuts Down American Precious Metals, LLC, a Precious Metals Boiler Room Based out of Deerfield Beach, Florida that Preyed on Seniors
SEC Charges Subprime Auto Loan Lender and Executives With Fraud
SEC Shuts Down Multiple Chinese Companies Listed on U.S. Stock Exchanges and Investigates Their Practices
Regulators Continue Efforts to Rein in New Ponzi Schemes
The Lehman Bankruptcy – Everyone is Getting Paid But the Victims
FINRA Fines H&R Block Financial Advisors for Inadequate Supervision of Reverse Convertible Notes Sales and Issues Guidelines for the Sale of These Products
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