This post summarizes recent enforcement actions against stockbrokers. You may be able to recover your money if you suffered losses as a result of investment fraud, unregistered offerings of securities, excessive trades, unauthorized trades, bad investment advice (suitability rules), or broker misconduct. Kevin Cline, Robert Burr, Vincent Christopher & Thomas Gilleland – Source Capital Group Kevin […]
Stockbroker Fraud – Another Broker Dealer In Dire Straits
Stockbroker fraud is a hot topic these days. Thousands of investors make claims each year about investment scams and Ponzi schemes. In many cases, when the dust settles, the only “deep pocket” is the brokerage firm that facilitated the sale of the investment. Other times, registered reps simply don’t take the time to know their […]
Massachusetts To Check Criminal Records Of Stockbrokers
by Brian Mahany Now that’s a novel idea… check the criminal record of people seeking jobs as stockbrokers. The Massachusetts Securities Division is proposing to require applicants seeking to be licensed as stockbrokers and investment advisers to consent to a criminal background check. While the idea isn’t foolproof, its a good plan. Federal and state […]
Consumer Alert – Questionable Annuity Strategies Aimed At Veterans
by Brian Mahany The National Association of Insurance Commissioners issued an alert yesterday to the nations veterans. There are approximately 16 million veterans who served during the time period between World War II and the Vietnam War. Many of these veterans are retired or quickly nearing retirement age. For many, long term care and estate […]
Four Stockbroker Giants Fined Millions For Selling Risky Investments
by Brian Mahany Everyday we seem to encounter another story of a big bank doing something wrong. Often it has to do with mortgage lending and foreclosure practices. Sometimes it involves helping Ponzi scheme fraudsters hide their crimes. Today’s story involves Citi, Wells Fargo, UBS and Morgan Stanley and their sale of risky investments. According […]
First Republic Securities Tagged For Almost $1mm in Suitability Case
by Brian Mahany We have been seeing a number of large arbitration awards these days by the Financial Industry Regulatory Authority (FINRA). Claims against stockbrokers and investment advisors are usually sent to arbitration. Some believe that process is biased against the customer and in favor of the industry. Don’t try to tell that to First […]
Angry Investors!
by Brian Mahany Jason Zweig is one of my favorite columnists at the Wall Street Journal. Minutes ago I read his column in today’s WSJ, “Too Flustered to Trade: A Portrait of the Angry Investor.” Zweig’s premise is that as flustered and angry as individual investors are today, many are simply sitting on the sidelines […]