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Articles Posted in UBS

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UBS Financial Ordered to Pay Punitive Damages in $1.3M Arbitration Ruling Over YES Strategy

Broker-Dealer Losses Yet Another Investor Claim Involving Its Yield Enhancement Strategy  A Financial Industry Regulatory Authority arbitration panel has awarded investors $1.34M, including punitive damages,  for losses sustained in the UBS Yield Enhancement Strategy. This is the latest award related to UBS Financial’s complex options trading strategy that has cost…

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UBS Must Pay Over $2.5M to Yield Enhancement Strategy Investors

Two FINRA Arbitration Panels Order Firm To Pay UBS YES Customers for Their Losses  In separate UBS Yield Enhancement Strategy (UBS YES) investor cases, two Financial Industry Regulatory Authority (FINRA) arbitration panels have awarded UBS Financial Services customers $1.18M and $1.4M, respectively. These are the latest awards against the broker-dealer,…

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UBS YES Strategy Customers Of Broker Jason Dworak Awarded Over $1M

Lincoln, Nebraska Stockbroker Named In Multiple Six-Figure Options Overlay Claims  A Financial Industry Regulatory Authority (FINRA) arbitration panel has awarded two claimants over $1M in their UBS Yield Enhancement Strategy (YES) claim against respondent UBS Financial Services (UBS).  Their broker, Jason Mathew Dworak, was not a respondent in the customer…

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Ex-UBS Broker and IHT Wealth Management Investment Advisor Frederick Kort Accused Of Unsuitable Investment Recommendations Involving Options Overlay Strategy

Pending Allegations Likely Involve UBS YES Strategy  Frederick Maximillian Kort, a former UBS Financial (UBS) broker, is facing allegations that he made misrepresentations when making unsuitable investment recommendations to customers.  According to his BrokerCheck record, there are two pending customer disputes against him,  both involving an options overlay strategy. While…

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Shepherd Smith Edwards and Kantas Investigates Claims Involving Leveraged UBS ETRACS ETNs After COVID-19 Market Crash Causes Investor Losses

UBS To Offer Redemptions to ETRACS ETN Investors After Coronavirus-Spurred Crash If you are an investor who was sold UBS ETRACS exchange-traded notes (ETNs), please contact our investor lawyers at Shepherd Smith Edwards and Kantas (SSEK Law Firm) today. ETRACS ETNs are complex and risky investments and they are not…

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Shepherd Smith Edwards and Kantas Investigates UBS YES Strategy Claims

UBS YES Strategy Losses May Be Grounds For A Claim Our investment fraud lawyers at Shepherd Smith Edwards and Kantas (SSEK Law Firm) are continuing to offer free, no-obligation case consultations to investors that lost money in the UBS Yield Enhancement Strategy (YES). SSEK Law Firm represents clients throughout the…

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Ex-UBS Puerto Rico Broker David Lugo Ordered to Appear in Federal Court

SSEK Investigating Investor Claims Against Ex-UBS Puerto Rico Broker  For the last several years, Shepherd Smith Edwards and Kantas, LLP (“SSEK Law Firm”) has been actively working with investors to recover the massive losses they sustained because brokers and their firms recommended that they invest in Puerto Rico bonds and…

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Shepherd Smith Edwards and Kantas Wins $550K for Texas Widow Against UBS

A Financial Industry Regulatory Authority panel (FINRA) has awarded one of our clients, a 91-year-old widow, $550K in her Texas broker-dealer fraud case against UBS Financial Services (UBS). The claimant, who is from Texas, contends in her Houston senior investor fraud case that because her UBS broker made unsuitable investments…

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UBS Ordered to Pay $9.3M for Puerto Rico Bond Fraud

Two different groups of investors were recently awarded nearly $9.3 million in their respective Puerto Rico bond fraud claims against UBS Financial Services (UBS). These are just the latest Financial Industry Regulatory Authority (FINRA) arbitration claims where the Swiss giant and its Puerto Rico-based brokerage firm have been ordered to…

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Ex-Cetera, UBS, and Spencer Edwards Brokers Barred

Former Cetera Broker Allegedly Engaged in Outside Business Activities The Financial Industry Regulatory Authority (FINRA) announced that it is barring Nina Jessee, a former Cetera Advisors broker. The bar comes after Jessee failed to cooperate with the self-regulatory organization (SRO), which was investigating complaints about her related to alternative investments,…

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