October 31st, 2008
J.P. Turner Fined $250,000 for Failing to Supervise Commissions Charged on
Stock Trades
Washington, D.C. - The Financial Industry Regulatory Authority (FINRA)
announced today that it has imposed a $250,000 fine against J.P. Turner &
Company, LLC of Atlanta, GA, for failing to have an adequate supervisory
system designed to ensure that its registered representatives charged
customers fair and reasonable commissions [...]
Tags: arbitration, finra arbitration, investment fraud, JP Turner, stock fraud lawyer, stockbroker arbitration, stockbroker fraud, stockbroker litigation
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October 31st, 2008
The Guiliano Law Firm Launches Securities Fraud Investigation Against Wall Street Firms
Philadelphia, PA (MarketWire) November 6, 2008 – The Guiliano Law Firm, P.C., a leading securities lawyer firm in Philadelphia, Pennsylvania announced today it is actively investigating and pursuing securities fraud claims against certain securities broker-dealers resulting from the risky or unsuitable recommendation of securities.
Investment [...]
Tags: arbitration, fannue mae freddie mac, investment law, lawyer, securities, stockbroker fraud
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May 24th, 2008
Last August, Wall Street firm Morgan Stanley and one of its senior
traders agreed to pay $6.1 million in fines and restitution to settle
allegations that the investment bank overcharged brokerage customers on
2,800 purchases of $59 million of bonds.
Regulators investigating the case had a crucial inside source: Dana de
Windt, a broker at the aquamarine, glass Morgan Stanley branch nestled
among back-pain and varicose-vein-removal clinics in this small city on
Florida’s east coast…
Tags: Bonds, Dana de Windt, Kemper Insurance Company, Lumbermans Mutual, Michael, Morgan Stanley Bond Fraud, Undisclosed Mark-ups
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January 20th, 2008
A group of investors filed a class-action lawsuit on January 15, 2008 seeking nearly $500 million dollars in damages from Morgan Stanley, alleging their broker, Michael James Kazacos, gave them fraudulent investment advice and made false promises to Eastman Kodak retirees that never materialized.
Tags: class action, eastman kodak, morgan stanley, new york, public disclosure, retirees, rochester, securities fraud
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January 20th, 2008
Wronged Investors Have Options, Common Claims Against Stockbrokers and investment professionals for fraud, sale of unsuitable investments, failure to supervise, contingent fee, FINRA Securities Arbitration
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January 20th, 2008
Protect Yourself From Investment Fraud
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January 20th, 2008
Common Schemes and Scams securities and investment fraud unregistered securities
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January 20th, 2008
Common Problems for Retirees Investment Scams, investment fraud, stockbroker fraud
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January 20th, 2008
Variable Annuity Investment Fraud, the problems with variable annuities
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January 20th, 2008
Read your customer statements protect yourself from investment fraud
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