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Ressources

Ressources

Resources no sidebarSteven Chong2022-08-18T14:10:16-04:00
  • Investor Alerts

    Andrew Left Convicted of Securities Fraud: What the Citron Research Verdict Means for Investors

    Andrew Left Convicted of Securities Fraud: What the Citron Research Verdict Means for Investors

    June 4, 2026
  • Investor Alerts / Market Watch

    Market Watch: Broker and Advisor Complaints Investors Should Know About

    This Market Watch roundup highlights recent broker and advisor complaints involving firms such as Morgan Stanley, Merrill Lynch, LPL Financial, Ameriprise, J.P. Morgan Securities, Edward Jones, Osaic Wealth, Aegis Capital, and others.

    Read Article
  • FINRA Enforcement & Investor Protection / Investor Alerts

    SEC and FINRA Refocus on Fraud, Supervision, and Investor Harm: What Brokerage Customers Should Know

    Recent SEC and FINRA guidance highlights renewed regulatory focus on fraud, investor harm, broker-dealer supervision, AML controls, Reg BI, and private placement due diligence.

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  • Investor Alerts

    StraightPath Founders Sentenced in Pre-IPO Investment Fraud: What Investors Should Know About Hidden Markups and Private Market Misconduc

    StraightPath Venture Partners founders Michael Castillero, Brian Martinsen, and Francine Lanaia were sentenced in a major pre-IPO investment fraud case involving hidden markups, undisclosed fees, barred securities industry participants, and investor restitution.

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  • Investor Alerts

    Goldman Sachs to Pay $500M in 1MDB Shareholder Lawsuit: What a Veteran Securities Litigator Sees in the Disclosure Failures

    Goldman Sachs agreed to pay $500 million to settle a shareholder class action tied to the 1MDB scandal. The lawsuit alleged that Goldman misled investors about its role in 1MDB and its risk controls, raising important issues for securities fraud litigation and shareholder recovery.

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  • About
  • Practice Areas
    • Investor Losses
    • Securities Class Actions
    • Whistleblower Representation
  • Attorneys
    • Jeffrey R. Sonn, Esq. | Founder of Sonn Law Group
    • Adolfo J. Anzola | Securities Fraud & FINRA Arbitration Attorney
    • Brian B. Pastor Esq. | Commercial & Securities Litigation Attorney
  • Investor Insights
    • FINRA Complaint & Disciplinary Watch
  • Blog
  • Contact
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Aventura, Florida, 33180

305-912-3000

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