Tagged with "barred advisor"

SEC Bars New Jersey Advisor Over “Cherry-Picking” Scheme

Posted on October 1st, 2021 at 12:26 PM
SEC Bars New Jersey Advisor Over “Cherry-Picking” Scheme

The Securities and Exchange Commission (SEC) has barred a New Jersey-based advisor from the industry for allegedly operating a fraudulent “cherry-picking” scheme.

Read More »

FINRA Bars Former Advisor After His Assistant Took CE Classes for Him

Posted on July 16th, 2021 at 1:31 PM
FINRA Bars Former Advisor After His Assistant Took CE Classes for Him

The Financial Industry Regulatory Authority (FINRA) has barred a former advisor who allegedly used an “impostor” to complete his FINRA Regulatory Element continuing education training and three non-FINRA CE courses in 2018.

Read More »

Advisor Barred for Failing To Comply with FINRA Enforcement Requests

Posted on April 9th, 2021 at 10:29 AM
Advisor Barred for Failing To Comply with FINRA Enforcement Requests

FINRA Enforcement has barred Roderick Day pursuant to Rule 8210 after he failed to comply with document and information requests in connection with an investigation of his alleged outside business activities.

Read More »

SEC Wants Court-Appointed External Monitor to Protect GPB Capital Investors

Posted on February 17th, 2021 at 9:22 AM
SEC Wants Court-Appointed External Monitor to Protect GPB Capital Investors

After charging GPB Capital executives with fraud, The Securities Exchange Commission (SEC) wants an external monitor to govern GPB Capital actions.

Read More »

TESTIMONIALS

Previous
Next

I am so blessed to have you and your dynamic team defending me. Your ethics, forward thinking and strategies are amazing.  You guys are the best group of attorneys in the country that I could hire to handle this complicated case.

Cindy C.

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.