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Investor Lawyers Blog

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When Failure To Supervise Requires a Broker Fraud Attorney

When Failure To Supervise Enables Broker Fraud Texas Retirees Whose Financial Advisor Stole Their Savings File FINRA Arbitration Claim Against Planmember Securities  As their customer, your broker-dealer has a fiduciary duty to properly supervise your accounts and your financial advisor’s activities when working with you. Unfortunately, failure to supervise these…

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Broker Dealer Negligence Attorney Assists Northstar Financial Service Clients

SSEK Broker Dealer Negligence Attorneys Helping Northstar Financial Services Investors Are You A Japanese Investor Whose US-Based Broker Sold You Northstar Financial Services (Bermuda) Products? Retired Couple Files FINRA Lawsuit Against Bankoh Investment Services and Broker Yoko Farias If you are a Japanese citizen who was sold Northstar (Bermuda) investments…

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What Is Churning and How Does It Lead to Investor Losses?

Did You Suffer Investor Losses While Working With Ex-Network 1 Financial Securities Broker Charles Malico?  Customers Accuse New York Financial Advisor of Broker Misconduct In the Financial Industry Regulatory Authority’s (FINRA’s) first disciplinary action related to Regulation Best Interest, the SRO has imposed a $5K fine and six-month suspension against…

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ETF Investor Loss Lawyer: Know When You Need Contact One

Should You Call an ETF Investor Loss Lawyer You Suffered Investor Losses in Ark Innovation ETF Cetera and Other Broker-Dealers Now Facing ETF Investor Loss Claims From Customers Many investors of the Ark Innovation Exchange-Traded Fund (ARKK) have been blindsided by their losses. According to sources, the ETF has lost…

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FINRA Lawsuit Filing Options for Latin American Investors

Can Latin American Investors Pursue Northstar Financial Services (Bermuda) Investment Losses? If you are an investor from Latin America, Central America, or South America who was recommended and sold Northstar Financial Services (Bermuda) products by a US-based brokerage firm, you should speak with our variable annuity investment fraud lawyers right…

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Do You Need a FINRA Lawyer to Recover Investment Losses

Did You Suffer Investment Losses While Working With Former Fortune Financial Services Broker Richard Wesselt? Investors May Be Able to Look To FINRA Lawyer To Recover Damages Caused By Broker Misconduct It can be devastating to discover that the broker you entrusted to properly manage your portfolio and make investment…

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How to Recognize Elder Financial Abuse

Ex-LPL Financial Broker Bradley Goodbred Is In Trouble For Alleged $1.3M Elder Financial Abuse How Senior Investors Can Pursue Damages Over Their Investment Losses The US Securities and Exchange Commission (SEC) recently filed charges against former LPL Financial broker Bradley Allen Goodbred. The ex-Chicago financial advisor, who was barred from…

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Broker Negligence: Avoid Investment Losses with these Tips

Ocean Financial Services This independent broker-dealer is a wholly owned subsidiary of Ocean Bank in Florida and was established in 2012. Headquartered in Miami, Ocean Financial Services offers investment management and financial strategies, as well as advice and recommendations, to all kinds of investors. The firm’s website lists fixed income,…

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FINRA Lawyers Helping Pursue O&G Losses Involving David Lerner

How Energy 11 Investors Can Pursue Oil and Gas Investment Losses From David Lerner & Associates Broker-Dealer Owes $45M in Unpaid Distributions And Has Been The Subject of FINRA Arbitration Claims  Once again, David Lerner & Associates has come under scrutiny over proprietary products that it sold exclusively to its customers. In…

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Know When You Need to Hire an Investment Loss Lawyer

What Is The Investment Grade Fund I and Why Are Investor Losses A Concern? Broker-Dealer Negligence Allegations Surface Following Private Placement Losses for Investors. If you are an investor whose broker recommended that you purchase shares in IGF Investment Grade Fund I, LP, you may be struggling with whether you…

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