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April 20, 2012
Elderly Investors to Receive Only 2.8 cents on the Dollar after Getting Bilked by Insurance Agent

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April 17, 2012
A Word of Caution When Buying REITs

In an InvestmentNews.com article by Bruce Kelly, April 1, 2012, he writes that shortly after Susan Fox bought a nontraded real estate investment trust for her IRA, the REIT started to show quarterly losses. But when she met with her broker to discuss her concern, he sold her a second nontraded REIT. Kelly writes that […]

April 3, 2012
FINRA and Broward Judge, Clamp Down on Broker's Alleged Efforts to Get Dogs' Inheritance

In a February 29, 2012, article from BrowardBulldog.org, Ann Henson Feltgen writes that a Broward County probate judge has nipped an alleged attempt to redirect a $3 million inheritance intended to care for four beloved show dogs following their owner’s death. Judge Mark Speiser threw out financial advisor Charles E. Bishop’s claim as inheritor of the estate […]

April 3, 2012
Financial Advisers Put Profits in Front of Their Clients, Finds Undercover Study

In an April 2nd., 2012, article on ThinkProgress.com, Travis Waldon writes that former Goldman Sachs trader Greg Smith publicly resigned three weeks ago, decrying the firm’s “toxic and destructive" culture in a scathing New York Times editorial. But it isn’t just traders at America’s biggest investment bank that view their clients as “muppets,” at least […]

March 28, 2012
US DISTRICT COURT ENTERS ORDER AMENDING FINAL AGAINST AGILE GROUP FOUNDER AND HEAD PORTFOLIO MANAGER

THE FOLLOWING IS AN ARTICLE FROM THE SEC'S WEBSITE: "The U.S. Securities and Exchange Commission announced today that the United States District Court for the District of Colorado entered an Order amending a February 11, 2011 Final Judgment wherein Greenberg, without admitting or denying the Commission’s allegations, consented to the entry of a Final Judgment […]

March 21, 2012
BROOKSTREET CEO ORDERED BY JUDGE TO PAY $10 MILLION PENALTY IN SEC CASE

THE FOLLOWING ARTICLE WAS OBTAINED FROM THE SEC'S WEBSITE: "On March 1, 2012, a federal judge ordered the former CEO of Brookstreet Securities Corp. to pay a maximum $10 million penalty in a securities fraud case related to the financial crisis. In December of 2009, the U.S. Securities and Exchange Commission filed a civil injunctive […]

March 21, 2012
SEC Files Civil Action Against Senior Management of Thornburg Mortgage, Inc. for Alleged Fraudulent Overstatement of Thornburg’s Income

If your stockbroker over concentrated your portfolio in Thornburgh stock, you should be aware that this article was posted on the SEC's website: "On March 13, 2012, the Securities and Exchange Commission filed securities fraud charges in the United States District Court for the District of New Mexico against Larry Goldstone, the former chief executive […]

March 14, 2012
The 'Golden Years' May Not Be All That Golden for Senior Investors

The financial industry has been anticipating this time in history ever since the Baby Boom generation began. There are more people who will be turning more money over to stockbrokers than at any other time in history.  We have watched the abuse investors have taken. Take for example, the investors in Worldcom or Enron. They soon learned that things are […]

March 14, 2012
Finra's Top Enforcement Actions

In an article from InvestmentNews.com, we learn that enforcement actions and fines by the Financial Industry Regulatory Authority Inc., or Finra,  jumped sharply in 2011, with the latter rising to $68 million, from $45 million in 2010, a new study shows. Much of that surge came from penalties for improper advertising. Finra filed 1,488 disciplinary […]

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