Tagged with "Advisors"

SEC Charges Chicago Advisor Who Allegedly Misappropriated $683,000 of Investor Funds

Posted on October 7th, 2022 at 1:08 PM
SEC Charges Chicago Advisor Who Allegedly Misappropriated $683,000 of Investor Funds

The Securities and Exchange Commission (SEC) has charged a Chicago-based advisor who allegedly misappropriated $683,000 of investor funds. 

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Waddell & Reed Ordered to Pay $776,000 Over Reverse Churning

Posted on October 6th, 2022 at 2:48 PM
Waddell & Reed Ordered to Pay $776,000 Over Reverse Churning

Waddell & Reed has agreed to pay nearly $776,000 to settle charges of misconduct over one of its wrap fee programs, according to the Securities and Exchange Commission (SEC). 

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Sparkster Ordered to Pay $35 Million Over Unregistered Crypto Asset Offering

Posted on October 5th, 2022 at 1:06 PM
Sparkster Ordered to Pay $35 Million Over Unregistered Crypto Asset Offering

The Securities and Exchange Commission (SEC) has issued a cease-and-desist order against Sparkster and its CEO, Sajjad Daya, over an unregistered crypto asset offering that spanned from April 2018 through July 2018.

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Former Morgan Stanley Advisor Pleads Guilty to $7 Million Ponzi Scheme

Posted on October 4th, 2022 at 1:06 PM
Former Morgan Stanley Advisor Pleads Guilty to $7 Million Ponzi Scheme

A former North Carolina-based Morgan Stanley advisor has pleaded guilty to two felony counts in connection with a Ponzi scheme he operated.

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SEC Charges Real Estate Investment Firm and Owner Over $100 Million Fraud

Posted on October 3rd, 2022 at 1:29 PM
SEC Charges Real Estate Investment Firm and Owner Over $100 Million Fraud

The Securities and Exchange Commission has charged Secured Income Group, Inc. along with its owner, Max McDermott, and its head investor relations representative, Stacey Porter, with fraud in a securities offering. 

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SEC Charges Unregistered Crypto Assets Advisor and Owner With Fraud

Posted on September 30th, 2022 at 11:09 AM
SEC Charges Unregistered Crypto Assets Advisor and Owner With Fraud

The Securities and Exchange Commission (SEC) has charged Chicago Crypto Capital along with its owner, Brian Amoah, and two former salesman, Darcas Young and Elbert Elliot, for allegedly defrauding investors in connection with an unregistered offering of crypto asset securities.

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SEC Charges Loop Capital Markets with Violating Municipal Advisor Registration Rule

Posted on September 29th, 2022 at 12:44 PM
SEC Charges Loop Capital Markets with Violating Municipal Advisor Registration Rule

The Securities and Exchange Commission has charged Loop Capital Markets for allegedly providing advice to a municipal entity without registering as a municipal advisor.

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SEC Charges Four Underwriters to Enforce Municipal Bond Disclosure Law

Posted on September 28th, 2022 at 1:33 PM
SEC Charges Four Underwriters to Enforce Municipal Bond Disclosure Law

The Securities and Exchange Commission (SEC) has filed suit against Oppenheimer & Co. and additionally announced settlements with BNY Mellon Capital Markets, TD Securities, and Jefferies for failing to comply with municipal bond offering disclosure requirements. 

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FINRA Fines Financial Advisory Firm After Elderly Client Was Loaded Up on Margin

Posted on September 27th, 2022 at 1:04 PM
FINRA Fines Financial Advisory Firm After Elderly Client Was Loaded Up on Margin

The Financial Industry Regulatory Authority (FINRA) has agreed to an $86,000 settlement with SagePoint Financial over allegations that the firm failed to effectively supervise its advisors’ use of margin in client accounts. 

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FINRA Fines Another Financial Advisory Firm Over GPB Private Placement Sales

Posted on September 26th, 2022 at 1:11 PM
FINRA Fines Another Financial Advisory Firm Over GPB Private Placement Sales

The Financial Industry Regulatory Authority (FINRA) has issued a $60,000 fine to Sanctuary Securities, formerly known as David A. Noyes & Company, over improper sales of two GPB Capital private placement offerings.

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LATEST NEWS AND ARTICLES

October 23, 2025
Retail Access to Private Markets Raises Investor Protection and Regulatory Concerns

Robinhood Markets recently registered its first alternative investment vehicle, Robinhood Ventures Fund I, with the Securities and Exchange Commission (SEC).

October 21, 2025
Judge Denies Merrill Lynch's TRO in Advisor Transition

A federal judge has rejected Merrill Lynch’s request for a temporary restraining order (TRO) against a group of former financial advisors who left the firm to launch their own independent practice, OpenArc Corporate Advisory, under Dynasty Financial Partners’ platform with custody at Charles Schwab.

October 20, 2025
FINRA Accuses Former MML Broker of Cheating on SIE Exam

Regulators have accused a former MML Investors Services-affiliated broker of cheating on the Securities Industry Essentials (SIE) exam, according to a recent Financial Industry Regulatory Authority (FINRA) enforcement complaint.