March 2, 2024, Miami, Florida. — Sonn Law Group PA announced today that several former Morgan Stanley financial advisors won a collective $3 million in[...]
Broker / Advisor Investigations
November 3, 2023 November 3, 2023 – The Financial Regulatory Authority fined Bolton Global Capital (CRD #15650, Bolton, Massachusetts) $75,000, in part, for exposing customer[...]
According to the Finanical Regulatory Authority (FINRA) John Aloysius Dougherty entered the securities industry in December 1997. In January 2021, Dougherty became associated with LPL[...]
by Miriam Rozen November 22, 2023 Edited with comments from Sonn Law Group A federal judge has granted Morgan Stanley’s motion to send to arbitration[...]
FROM INVESTMENTNEWS.COM The disgraced advisor fleeced more than 400 investors in a fraudulent ‘private equity’ fund over a 13-year period.February 13, 2024By Leo AlmazoraA former[...]
In a recent development, LPL Financial has found itself in the spotlight, facing significant penalties totaling more than $6 million for various securities violations. The[...]
In the dynamic world of financial investment, Edward Jones stands out for its unwavering commitment to excellence. Recent developments from the firm highlight a strategic[...]
The full House of Representatives, in a late Wednesday session, passed H.R. 7024, titled the Tax Relief for American Families and Workers Act of 2024,[...]
The Securities and Exchange Commission (SEC) has taken action against Citigroup Global Markets, Inc. (CGMI) and Citi International Financial Services, LLC (CIFS) for their failure[...]
The U.S. Securities and Exchange Commission (SEC) has lodged formal complaints against Coinbase, asserting that the company has breached securities legislation by not registering as[...]