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Securities Lawyers Blog

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The Dangers of Oil and Gas Private Placements

The Securities and Exchange Commission (SEC) has found private securities offerings of oil and gas ventures pose a substantial danger and risk for investor fraud.  An SEC Investor Alert listed some common red flag sales pitches often made to investors including: (1) Sales pitches referring to the high price of…

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Colorado Financial Service Fined By FINRA Over Private Placement Supervisory Failures

The Financial Industry Regulatory Authority (FINRA) recently fined Colorado Financial Service Corporation (Colorado Financial) concerning allegations that the firm violated NASD Rule 3010, and FINRA Rule 2010, among other violations, by failing to establish, maintain, and enforce supervisory procedures reasonably designed to ensure compliance with the securities rules pertaining to…

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LPL Financial Fined by FINRA for Failing to Supervise Sales of Alternative Investments

On March 24, 2014, LPL Financial LLC, the fourth largest broker dealer, measured by number of salespersons, was fined $950,000 by the Financial Industry Regulatory Authority (FINRA) for failing to supervise the way that its brokers marketed and sold nontraditional investments.  The fine is one of many that have recently…

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FINRA Fines Triad Advisors and Securities America for Failure to Supervise Issuance of Consolidated Reports

On March 12, 2014, the Financial Industry Regulatory Authority (FINRA) announced that it sanctioned and fined Triad Advisors and Securities America, $650,000 and $625,000, respectively, for failing to supervise the use of consolidated reporting systems, after brokers from the firms inaccurately represented the value of some customer holdings, often inflating…

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New York State Fines AXA Equitable $20 Million Over Variable Annuity Products

Governor Andrew M. Cuomo announced on March 17, 2014, that AXA Equitable (AXA) agreed to a consent order to pay a $20 million fine to the New York Department of Financial Services (DFS) for violations relating to certain variable annuity products.  The DFS investigation uncovered that AXA made changes to…

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Investors in LEAF Limited Partnerships May Have A Investment Claim

Some investment advisors have touted alternative investments as safe, stable, high return products.  The truth is, these products are often laden with risks that are not disclosed and discussed with clients.  In addition, alternative investments are simply unsuitable for many investors needs.  The sale of these products often generates commissions of…

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FINRA Announces UBS Puerto Rico Bond Fund Cases to Move Forward

On Monday, April 14, 2014, the Financial Industry Regulatory Authority (FINRA) announced that it would lift the hold that it had put on some cases related to the collapse of Puerto Rico Bond Funds. FINRA has been able to expand its pool of arbitrators that will be available to hear…

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Pennsylvania Regulator Investigates Securities America and Landenburg Thalmann Non-Traded REIT Sales

The Pennsylvania Department of Banking and Securities requested that Securities America Inc. (Securities America) provide information concerning customer purchases of non-traded real estate investment trust (REIT) securities by Pennsylvania residents since 2007.  This information was provided by an annual report of Ladenburg Thalmann & Co. Inc. (Ladenburg Thalmann), the company…

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Hits of the 80’s and 90’s Sounding Like Fraud: Gana LLP Files Suit Against Producer of Classic Tunes

Music lovers looking to reminisce while enjoying classic hits from the 80’s and 90’s may not be getting what they paid for.  Producers have created and marketed a compilation of some of those classic tunes, which include songs such as “Only In My Dreams” by Debbie Gibson, “Jenny/867-5309” by Tommy…

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Meyers Associates: Black Marks and Red Flags

The Financial Industry Regulatory Authority (FINRA) maintains a public database, called BrokerCheck, which acts as a free tool for investors looking to research the backgrounds of FINRA registered personnel. BrokerCheck covers brokerage firms, brokers, investment adviser firms and representatives. Searches allow investors to draw upon filings by firms, regulators, and…

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