Browse Investment Loss News Related to Brokers, Advisors, and Firms
Our primary blog addresses a wide spectrum of investor-related issues; this section focuses specifically on investment losses tied to brokers, advisors, and financial firms.
Investor Alert: Who Is Liable When a Crypto Custodian Fails? Lessons From the Kraken vs. Etana Custody Dispute
As litigation between Kraken and Etana Custody unfolds, a critical [...]
Investor Alert: Redemption Limits and Liquidity Pressure Hit Non-Traded REITs and BDCs
A series of recent developments across the alternative investment market [...]
Investor Alert: Kraken Sues Etana Custody for $25 Million Over Alleged Misappropriation and Ponzi-Like Conduct
A new lawsuit filed by cryptocurrency exchange Kraken against Etana [...]
Investor Alert: Court Upholds $92 Million FINRA Arbitration Award Against UBS Over Tesla Short Strategy
A federal court has now confirmed one of the largest [...]
Investor Alert: FINRA and Federal Regulators Hit Canaccord Genuity with $120 Million in Penalties for AML Failures
A sweeping enforcement action against broker-dealer Canaccord Genuity LLC is [...]
Investor Alert: GWG L Bond Investors Face Minimal Recovery as Bankruptcy Distributions Fall Near 3%
GWG Holdings, Inc. L Bond investors are now confronting a [...]
Investor Alert: SEC Cease-and-Desist Order Issued Against GPB Capital Holdings for $122 Million Oil & Gas Offering
Federal regulators continue to pursue large-scale unregistered securities offerings, and [...]
Investor Alert: Maryland Cease-and-Desist Order Issued Against Kwakye Bissah for Unregistered Broker Activity
State securities regulators continue to focus on individuals operating outside [...]
Investor Alert: Texas Cease-and-Desist Order Issued Against Advisor Accused of Misappropriating Investor Funds (Smith Wealth Advisors)
State securities regulators continue to pursue enforcement actions against financial [...]




