Close

Articles Posted in Uncategorized

Updated:

Florida FINRA Attorneys

Florida FINRA Attorneys From Our Tampa Securities Law Office, Shepherd Smith Edwards and Kantas Represent Florida Investors Against Brokerage Firms Suffering serious investment losses, especially when caused by brokerage firm misconduct or negligence, can be devastating. You entrusted your financial advisor to take care of your money and now you’ve…

Updated:

Non-Traded Securities Litigation Lawyers

How Can Our Non-Traded Securities Litigation Lawyers Help You Recover Your Investor Losses?  For over 30 years, Shepherd Smith Edwards and Kantas (investorlawyers.com) has represented investors who have suffered serious losses in non-traded securities against their brokerage firms and financial advisors. Most recently, this has included either investigating and/filing Financial Industry…

Updated:

FINRA Lawsuit Lawyer Assistance

Should You Sue Your Broker-Dealer Over Your Investor Losses From Morgan Stanley’s Covered Call Options Strategy? Broker-Dealer Ordered To Pay$11.5M After Losing FINRA Lawsuit A Financial Industry Regulatory Authority (FINRA lawsuit) arbitration panel has ordered Morgan Stanley to pay one investor $11.5M in damages over losses sustained by using a…

Updated:

Why You Want To Work With Our Skilled FINRA Attorneys

Recoup Your GPB Investor Losses in Securities Arbitration If you are an investor who suffered losses in GPB Capital Holdings, you may be able to sue your broker-dealer for unsuitably recommending these private placements that allegedly were part of a more than $1.7B Ponzi scam. Unfortunately, over 17,000 investors, including…

Updated:

Brokerage Firm Arbitration Lawyers Investigating Herbert J. Sims

Reg D Securities Losses Can Be Caused by Broker Negligence Our Brokerage Firm Arbitration Lawyers Are Investigating Herbert J. Sims (HJ Sims) After Regulation D Offerings Fail Regulation D (Reg D) private placements are private securities offerings. These alternative investments are risky, often illiquid investments and exempt from having to  register…

Updated:

Investment Loss Lawyer Team Representing Investors

Northstar Financial Services (Bermuda) Investors Receive New Liquidation Update On November 15, 2022, Northstar (Bermuda) policyholders were sent an update regarding the liquidation proceedings involving the offshore company, which filed for bankruptcy in December 2020. Many investors are still struggling to recoup their losses. The letter stated that the Joint…

Updated:

Due Diligence Failures May Be Grounds for a FINRA Lawsuit

 Alleged Unsuitability and Due Diligence Failures May Be Grounds for a FINRA Lawsuit If you are someone whose financial advisor recommended one of the TCA Global Credit Funds to you, there may be reasons to sue your broker-dealer for damages. In 2020, TCA Fund Management Group Corp. and key executives were…

Updated:

What Is Stockbroker Misconduct?

Our Seasoned Brokerage Firm Arbitration Attorneys Are Here To Help Recover Investor Losses when Stockbroker misconduct is Suspected There are different kinds of broker misconduct that can be committed by registered representatives and/or their broker-dealers. There is, of course, the most egregious kind, which is when a financial advisor purposely…

Updated:

How Can Our Broker Misconduct Attorneys Help with Investment Fraud?

What Are Common Types of Investment Fraud and How Can Our Broker Misconduct Attorneys Help? Every day, there are financial scammers out there looking to steal money from unsuspecting investors. Some of these fraudsters are registered brokers using the legitimacy of their profession and the brokerage firms they are employed…

Contact Us
Live Chat