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November 10, 2011
SEC Sets New Record in Enforcement Actions on Advisers-- up by nearly a third, B-Ds by 60%

In an article for InvestmentNews.com, November 9th., 2011, Mark Schoeff Jr. writes that the Securities and Exchange Commission (SEC) engaged in an unprecedented crackdown on investment advisers over the last year, contributing to an overall surge in agency enforcement. The SEC announced that it filed 146 enforcement actions against investment advisers and investment companies during the […]

November 7, 2011
Did You Experience Losses in Goldman Sachs Global Alpha Fund?

Soreide Law Group, PLLC, has announced it's investigation into the Goldman Sachs Global Alpha Fund which was recently closed.  According a New York Times article, Global Alpha was started in 1995 with just $10 million. Over time the results soared. At its peak in 2007, Global Alpha ran about $12 billion, although that number had dwindled to about […]

November 3, 2011
FINRA'S CEO Speaks on Financial Fraud at 2011 Conference

The following are excerpts from Richard G. Ketchum, Chairman and CEO of FINRA, the Financial Industry Regulatory Authority, and Chairman and Chief Executive Officer Research Center on the Prevention of Financial Fraud in Washington, DC, Thursday, November 3, 2011. "We bring together policymakers, researchers, practitioners, law enforcement and others to discuss how we can better share […]

November 2, 2011
BATS Trading Censured and Fined by FINRA Over Short Sales

  BATS Trading, Inc. (CRD #136734, Lenexa, Kansas)   Have submitted a Letter of Acceptance, Waiver and Consent in which the firm was censured and fined $307,500. Without admitting or denying the findings, the firm consented to the described sanctions and to the entry of findings that it executed numerous short sale transactions on its […]

October 26, 2011
Ex-Brokers from Edward Jones Under FBI Investigation Over Alleged Ponzi Scheme

The FBI is investigating two former Edward Jones brokers based in South Dakota for their role in a “selling-away” case that involved raising money from clients who invested in an alleged Ponzi scheme writes Bruce Kelly in a September 28, 2011, article in InvestmentNews.com. Kelly writes that according to Jones, a client brought the matter […]

October 26, 2011
UBS will pay $12M over Short-Sales Settling FINRA Claim

In a Bloomberg News article from October 25, 2011, we learn that UBS AG, Switzerland’s largest bank, will pay $12 million to resolve Financial Industry Regulatory Authority claims that a brokerage unit allowed millions of short-sale orders to be placed without reasonable grounds to believe that the securities could be delivered. The article points out […]

October 25, 2011
FINRA Warns Investors on the Risks of Nontraded REITs

On October 4, 2011, the Financial Industry Regulatory Authority Inc. or FINRA,  issued an alert to investors that outlines the nontraded real estate investment trusts (REITs) features and potential drawbacks, such as high fees and a lack of liquidity. As the name suggests, nontraded REITs aren't listed on a national exchange writes Bruce Kelly for InvestmentNews.com. “Turbulence in […]

October 25, 2011
Colorado Settles E*Trade Auction Rate Securities

The following press release was from the State of Colorado regarding a settlement with E*Trade over the firm's auction rate securities issues. Colorado Securities Commissioner Announces Settlement of its Auction Rate Securities Enforcement Action against E*TRADE The Colorado Securities Commissioner Fred Joseph announced today that a settlement in principle has been reached between E*TRADE Securities, […]

October 21, 2011
Did You Invest in IMH Secured Loan Fund, LLC?

If you invested in IMH Secured Loan Fund, LLC, then you may have the right to recover money from the brokerage firm responsible for supervising your sales agent/broker.  You must act quickly due to the statutes of limitation. Soreide Law Group, PLLC, wants you to know that you may be able to recover losses that you have […]

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