Investor Insights

Investor Insights

Investor Insights2026-05-20T20:25:41-04:00
Securities Fraud

Current perspectives on securities fraud, broker misconduct, and the legal pathways available to harmed investors nationwide.

Broker Misconduct

Updates on advisor negligence, unsuitable recommendations, excessive trading, and regulatory actions.

Investor Recovery

Legal updates and practical information for investors seeking to recover financial losses after misconduct.

Market Developments & Recovery Guidance

Timely guidance on securities fraud, broker misconduct, and investor recovery developments.

Latest Investor Alerts

Timely updates on emerging fraud cases, enforcement actions, investor complaints, and potential recovery issues.

Michael Kupferman Investor Investigation: Landolt Securities Broker Faces $800,000 Customer Complaint Over GWG L Bond Losses

By |June 8th, 2026|Categories: Broker / Advisor Investigations|Tags: , , , , , , , , , |

Investors who suffered losses in GWG L Bonds may have recovery options. Reported complaints involving Michael Kupferman and Landolt Securities raise allegations concerning suitability and risk disclosures.

David Kangas Investor Investigation: WealthForge Securities Broker Faces Customer Complaints Involving 1031 Exchange and DST Investments

By |June 8th, 2026|Categories: Broker / Advisor Investigations|Tags: , , , , , , , , , |

Multiple reported complaints involving David Kangas and WealthForge Securities allege investor losses connected to Delaware Statutory Trust investments and 1031 exchange strategies.

Adam Stern Investor Investigation: Customer Complaint Seeks Over $10 Million For Private Placement and Micro-Cap Losses

By |June 8th, 2026|Categories: Broker / Advisor Investigations|Tags: , , , , , , , , , , , |

A reported investor complaint involving Adam Stern, formerly associated with Aegis Capital Corp. and ThinkEquity LLC, seeks more than $10 million in damages tied to private placements and micro-cap securities investments.

BROKER/ADVISOR MISCONDUCT

Coverage of FINRA complaints, regulatory actions, unsuitable recommendations, unauthorized trading, and other forms of advisor misconduct.

FINRA ARBRITRATION

Practical guidance on investor claims, broker disputes, arbitration awards, and the recovery process.

Nothing Found

ALTERNATIVE INVESTMENT LOSSES

Updates on private placements, DSTs, BDCs, non-traded REITs, and other illiquid investment products.

Nothing Found

Class Actions & Market Misconduct

Coverage of securities class actions, institutional misconduct, and large-scale financial harm affecting investors.

Nothing Found

INVESTOR RECOVERY RESOURCES

Helpful legal resources for investors evaluating recovery options after losses caused by financial misconduct.

Nothing Found

Concerned About Investment Losses?

Go to Top