Eccleston Law News and Updates

Exclusive: UBS reverses non-solicit policy

February 28th, 2018 at 3:17 PM
UBS is making a course correction, replacing non-solicitation language that was recently introduced into some advisors' bonus agreements with new policies intended to mollify broker concerns, according to two people familiar with the matter.
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James Eccleston Selected Super Lawyer for 2018

February 1st, 2018 at 3:44 PM
We are pleased to announce that James Eccleston has been named a Super Lawyer for 2018.
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Roman B. Sankovych Joined the Firm as Associate Attorney

January 26th, 2018 at 1:41 PM
Eccleston Law LLC is pleased to announce that Roman B. Sankovych has joined the firm as an associate attorney.   
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Eccleston Law LLC Is Pleased to Announce Successful Expungement of Customer Complaint Reference

January 23rd, 2018 at 3:19 PM
Attorneys from Eccleston Law LLC successfully have represented a Texas financial advisor who should not have been named in a FINRA customer arbitration claim.  To remedy that situation, Eccleston Law LLC represented the financial advisor in a FINRA expungement proceeding.
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A Special Message to Morgan Stanley Financial Advisors Considering a Transition

November 1st, 2017 at 1:08 PM
As you know, your firm has withdrawn as a member of the Protocol for Broker Recruiting. Now what are your rights?
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In battle over bonuses, why so many advisers lose it all in arbitration

April 12th, 2017 at 3:02 PM
Jim Eccleston was recently mentioned an article published by Andrew Welsch on OnWallStreet.com.
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Jim Eccleston recognized for Achieving High Standard of Professionalism

March 24th, 2017 at 4:26 PM
Jim Eccleston has been recognized in America’s Most Honored Professional 2016 in the Top 1%.
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Former Registered Rep Wins FINRA Arbitration Expungement of Defamatory Language on His CRD Record

February 10th, 2017 at 4:50 PM
Eccleston Law LLC is pleased to announce that its client’s Central Registration Depository (CRD) and BrokerCheck record will be expunged of references to a baseless customer complaint filed against him and his former firm. 
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Stephany McLaughlin Shares Her Input OnWallStreet

December 23rd, 2016 at 11:58 AM
Recently, Stephany McLaughlin shared her thoughts on former Southwest Securities adviser Kimberly Rose and her journey through arbitration.
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Finra arbitration panel awards registered representative $417,000 for wrongful termination, defamation

December 22nd, 2016 at 10:32 AM
A Finra arbitration panel awarded $417,000 to a registered representative this week after finding she was wrongfully fired and defamed by her former firm.
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LATEST NEWS AND ARTICLES

May 15, 2024
NFA Issues Order Against 50.ai Investments LLC

The National Futures Association's (NFA) Business Conduct Committee (BCC) has taken action against 50.ai Investments LLC, a former NFA Member commodity pool operator and forex firm, for violating multiple NFA compliance rules.

May 13, 2024
Former Edward Jones Advisor Cleared to Solicit Clients for Wells Fargo Advisors

In a recent decision, a panel of three Financial Industry Regulatory Authority (FINRA) arbitrators ruled against Edward D. Jones & Co., allowing one of its former advisors, Justin P. Mackay, to solicit his former clients to transfer their assets to Wells Fargo Advisors.

May 10, 2024
SEC Bars Financial Advisor for Securities Trading Scheme

The Securities and Exchange Commission (SEC) has barred financial advisor Andrew Komarow from the securities industry, following a similar bar by FINRA.