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Jefferies Financial Group Dismisses Miami Advisory Team Amid Alleged Misconduct

February 14th, 2025 at 4:26 PM
Jefferies Financial Group recently terminated a team of Miami-based wealth advisors following allegations of improper money transfers and the use of unauthorized communication methods to conceal the activity.
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FINRA Panel Denies J.P. Morgan's $39.7 Million Claim Against Former Advisor

February 13th, 2025 at 2:01 PM
A FINRA arbitration panel recently rejected J.P. Morgan Securities’ bid to recover $39.7 million in damages from Edward Turley, a former financial advisor whose allegedmisconduct led the firm to incur significant settlement costs.
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Edward Jones Advisor Barred by FINRA Over Allegations of Unauthorized Account Changes

February 12th, 2025 at 11:16 AM
FINRA has barred Gwendolyn J. Hayes, a former Edward Jones advisor in Oregon after allegations surfaced that she altered client account information without authorization.
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UnitedHealth Group Agrees to $69 Million Settlement in ERISA Class Action Lawsuit

February 11th, 2025 at 2:07 PM
UnitedHealth Group has agreed to pay $69 million to resolve a class action lawsuit alleging violations of its fiduciary duties under the Employee Retirement Income Security Act of 1974 (ERISA).
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Former Merrill Lynch Advisor Sanctioned by FINRA for Unauthorized Trades

February 10th, 2025 at 1:48 PM
FINRA has fined Anthony J. Seifert, a former Merrill Lynch advisor based in Mount Pleasant, South Carolina, $5,000 and suspended him for 20 days.
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Court Finds American Airlines Breached Fiduciary Duty in 401(k) ESG Case

February 7th, 2025 at 10:02 AM
A federal court ruling against American Airlines has brought attention to the role of environmental, social, and governance (ESG) factors in managing retirement plans.
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SEC Charges LPL Financial with Anti-Money Laundering Failures

February 7th, 2025 at 9:21 AM
The Securities and Exchange Commission (SEC) has charged LPL Financial LLC, a broker-dealer and investment adviser, with multiple violations of anti-money laundering (AML) regulations.
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Vanguard Settles SEC Charges Over Target Date Fund Disclosures for $106 Million

February 6th, 2025 at 4:10 PM
Vanguard has agreed to pay $106.41 million to settle charges by the Securities and Exchange Commission (SEC) over alleged disclosure failures related to its target date retirement funds (TDFs).
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SEC Forms Cryptocurrency Task Force to Develop Clear Regulatory Framework

February 5th, 2025 at 12:02 PM
According to ThinkAdvisor, the U.S. Securities and Exchange Commission (SEC) has announced the creation of a cryptocurrency-focused task force to establish a "comprehensive and clear" regulatory framework for digital assets.
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Wells Fargo Faces $3.37 Million FINRA Award Over Alleged Elder Exploitation

February 4th, 2025 at 4:37 PM
A FINRA arbitration panel has ordered Wells Fargo Clearing Services and its advisor, Stephen L. Smith, to pay approximately $3.37 million in damages to the estate of Genell Mathis.
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LATEST NEWS AND ARTICLES

May 9, 2025
FINRA Suspends Former Wells Fargo Advisor Over Unauthorized Transfer in Elderly Client's Account

FINRA has fined and suspended former Wells Fargo financial advisor Jarrett Thomas after he executed a $50,000 transaction for an elderly client despite being informed that she was no longer capable of managing her finances.

May 8, 2025
All 50 States Now Aligned on Annuity Sales Standards

The annuity industry officially has secured uniformity in sales regulations across all 50 states.

May 7, 2025
Jury Finds Investment Advisor Liable for Failing to Disclose Annuity Commissions

A federal jury in Massachusetts has found investment adviser Jeffrey Cutter and his firm, Cutter Financial Group, liable for violating federal securities law by failing to disclose significant upfront commissions and conflicts of interest related to an annuity replacement scheme.