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July 21, 2011
Massachusetts is Suing RBC Capital, and Former Representative over Leveraged ETF Sale

In a June 20, 2011, article from Bloomberg News, it was reported that Massachusetts' top securities regulator is suing RBC Capital Markets LLC and one of its former registered representatives over the sale of leveraged exchange-traded funds, saying they sold them to clients who didn't understand how the investments worked. The Massachusetts Secretary of the […]

July 13, 2011
Wedbush ordered to pay $3.5M by FINRA for ‘morally reprehensible failure' to Pay Muni Trader Owed Years of Incentive Compensation

In a July, 2011, article by Liz Skinner for InvestmentNews.com, she writes that Wedbush Securities Inc. was ordered to pay a former municipal sales trader Stephen Kelleher $3.5 million for failing to give him years worth of incentive-based compensation he was owed. A three-person Financial Industry Regulatory Authority Inc. (FINRA) panel found the firm's “morally […]

July 13, 2011
SEC, FINRA Issue Retail Investor Alert Re: Investing in Structured Notes With Principal Protection

The following article was posted on FINRA's website: WASHINGTON — It was announced that The Securities and Exchange Commission's (SEC) Office of Investor Education and Advocacy and the Financial Industry Regulatory Authority (FINRA) have issued an investor alert called Structured Notes with Principal Protection: Note the Terms of Your Investment to educate investors about the risks […]

July 13, 2011
FINRA Awards 80+ year-old Merrill Client $880K

In a July 8, 2011, article by Dan Jamieson for InvestmentNews.com he writes that clients of a prominent Bank of America Merrill Lynch have won an $880,000 arbitration award against the firm. Phil Scott of the firm's Bellevue, Wash., office, was this year ranked No. 30 on the Barron's list of top advisers, with $1.8 […]

July 13, 2011
Did You Invest in FutureSelect Prime Advisor II?

Recently, a FINRA arbitration panel made a monetary award  in the case of Stone & Youngberg v. Kay Family Revocable Trust, No. 3:11-cv-00198 (N.D. Cal., 6/22/11),  which was appealed by the defense and lost.    This case involved the challenge by a broker-dealer to a $750,000 award to a former customer, who was advised by Stone & […]

June 30, 2011
Raymond James Financial Inc. Agrees to Settlement with States, SEC over Auction-Rate Securities; to Pay $1.7M Fine

In a June 29, 2011, article by Bruce Kelly for InvestmentNews.com he writes that as part of a settlement with eight states and the Securities and Exchange Commission, Raymond James Financial Inc. will buy back $300 million in auction-rate securities from clients and pay a fine of $1.7 million. The states in charge of the […]

June 30, 2011
RAYMOND JAMES MAKES OFFER TO PURCHASE AUCTION RATE SECURITIES

The following information was posted on Raymond James' website: Raymond James Offer to purchase eligible auction rate securities After providing ready liquidity to investors for over 23 years, in mid-February 2008 the Auction Rate Securities (ARS) market reacted to the unprecedented contractions in the credit markets, resulting in widespread auction failures. While some issuers have […]

June 29, 2011
FINRA'S THREE C'S RULE: CONCENTRATION, COST, & COMPLEXITY

In a June 28, 2011, article written by Darla Mercado for InvestmentNews.com, she writes that Finra's variable annuity suitability rule should be old news to broker-dealers, but firms that want to avoid an arbitration land mine ought to review their procedures. This warning came from Andrew A. Favret, associate vice president and regional chief counsel […]

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