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Articles Posted in Securities and Exchange Commission

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SEC Attorney

How Can A Skilled SEC Attorney Help You Pursue Damages From Your Broker-Dealer? Shepherd Smith Edwards and Kantas Has Been Fighting For Investors For Over 30 Years If you believe that you could be the victim of securities fraud, you may want to explore your legal options with a knowledgeable…

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Investment Recommendations Don’t Always Equate To a Customer’s Best Interests

SEC’s Regulation BI May Not Be Protecting Investors The Way They Think  It has been nearly seven months since the SEC’s Regulation Best Interest (BI), a rule mandating that brokers NOT market themselves as financial advisors unless they actually are dually registered to be one, went into effect. The aim…

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Strong Investment Management and Laurel Wealth Advisors Settle Cherry Picking Allegations

A final judgment has been reached in the US Securities and Exchange Commission’s (SEC) fraud case against Strong Investment Management. The investment adviser, based in California, and its owner James Bronson are accused of running a cherry picking scam that harmed clients and went on for over four years. Now,…

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Mispriced Funds and Elder Investor Fraud Lead to SEC Cases

State Street To Pay More Than $88M After Overcharging For Mutual Funds State Street Bank and Trust Company will pay over $88M to resolve US Securities and Exchange Commission charges accusing it of overcharging investment advisory clients, including mutual funds, for expenses related to its custody of client assets. From…

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AR Capital, Nick Schorsch, and Brian Block Settle REIT Fraud Case for $60M

A $60M settlement has been reached between The US Securities and Exchange Commission (SEC) and AR Capital, the real estate investment trust (REIT) manager’s founder Nicholas Schorsch, and American Realty Capital Properties Inc. (ARCP) ex-CFO Brian Block. The three of them are accused of “wrongfully obtaining” millions of dollars related…

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Former NY Trader Accused of $19.3M Ponzi Fraud

The US Securities and Exchange Commission (SEC) is accusing Paul Andrews Rinfret, Plandome LLC, and Plandome Partners LP of defrauding investors in a securities offering scam. At least five investors were allegedly collectively bilked of $19.3M. Rinfret, who is a former New York trader, is now also facing parallel criminal…

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Healthcare Investment Scam Targeted Dozens of Investors

Unregistered investment advisers (IAs) David Wagner and Mark Lawrence, Downing Investment Partners, Downing Partners, and Downing Digital Healthcare Group are now facing US Securities and Exchange Commission (SEC) charges accusing them of involvement in an $8M scam that allegedly defrauded dozens of healthcare fund investors. Wagner and Downing are also…

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Investors Defrauded in Alleged $1.4M Prime Bank Fraud

The US Securities and Exchange Commission (SEC) has filed fraud charges against David Sims and Mario Procopio accusing them of running a $1.4M prime bank scam that defrauded 13 investors. ALC Holdings, LLC, Sims Equities, Inc., and El Cether-elyown, which are companies that they control, are also defendants in the…

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SEC Charges Abraaj Investment Management With Defrauding Investors

The US Securities and Exchange Commission (SEC) is accusing Abraaj Investment Management Ltd., a Dubai-based investment advisory firm, with misappropriating money from the Abraaj Growth Markets Health Fund. The regulator said that the fraud has resulted in losses for US investors, including charitable organizations that invested over $100M in the…

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Latest SEC Whistleblower Award is $50 Million | Securities Fraud Attorney

The US Securities and Exchange Commission (SEC) has awarded $50M to two individuals who acted as whistleblowers, helping the regulator to render a successful enforcement action because of the quality information they provided. Details of the enforcement action and the identity of the whistleblowers are not disclosed so as to…

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