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August 1, 2011
Sanford C. Bernstein & Co., LLC, Multi-Strategy Fixed Income Hedge Fund Losses

Sanford C. Bernstein & Co., LLC, through its investment manager, Alliance Capital Management, LP, sold a proprietary hedge fund, called the Multi-Strategy Fixed Income Hedge Fund. The Multi-Strategy Fixed Income Fund was sold by Sanford C. Bernstein & Co., LLC as an alternative to traditional fixed income. Sanford Bernstein stressed that the Multi-strategy Fund would […]

August 1, 2011
FINRA Warns About Risky Investments

In an article from InvestmentNews.com, on July 25, 2011, Dan Jamieson writes that FINRA has warned investors about chasing yield with structured products, junk bonds and floating-rate bank-loan funds. The Financial Industry Regulatory Authority (FINRA) issued an investor alert about the risks found in these and other products. The alert was prompted by "significant recent inflows" […]

July 30, 2011
Did you Purchase Fannie Mae/Freddie Mac Preferred Stock?

Soreide Law Group, PLLC, is filing claims on behalf of Morgan Stanley Smith Barney clients that were sold Fannie Mae and Freddie Mac preferred stocks in 2007 and 2008.  Despite internal limitations to recommend no more than 10% of an investor's portfolio in preferred stocks, Morgan Stanley Smith Barney investors were sold Fannie Mae and Freddie […]

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 […]

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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