Tagged with "advisor charged"

SEC Charges Investment Advisor, Affiliated Broker-Dealer and CEO Over False and Misleading Statements

Posted on October 8th, 2021 at 12:49 PM
SEC Charges Investment Advisor, Affiliated Broker-Dealer and CEO Over False and Misleading Statements

The Securities and Exchange Commission (SEC) has charged Laguna Niguel, TCFG Investment Advisors, TCFG’s affiliated broker-dealer TCFG Wealth Management, and CEO Richard Roberts with making false and misleading statements regarding fee markups to their clients.

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SEC Charges Advisor with Defrauding Clients

Posted on April 6th, 2021 at 12:22 PM
SEC Charges Advisor with Defrauding Clients

The Securities and Exchange Commission (SEC)  announced charges against Douglas E. Elstun.

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LATEST NEWS AND ARTICLES

April 25, 2024
B. Riley Financial Clears Air Amid Allegations, Stock Surges

Amidst swirling speculation regarding its connections with a client linked to the Prophecy Asset Management collapse, B. Riley Financial Inc. has conducted an internal
review, concluding no affiliations with the defunct hedge fund.

April 24, 2024
RIA Insurance Claims Skyrocket

A recent analysis by Golsan Scruggs reveals a staggering 231 percent increase in errors-and-omissions (E&O) liability claims among registered investment advisor (RIA)
insurers.

April 23, 2024
Surge Predicted in Regulation Best Interest Cases

According to a recent analysis, Reg BI-related actions quickly have ascended to the top five issues for FINRA, with fines totaling $6 million in 2023.