Search for: "MORGAN STANLEY SMITH BARNEY" Results 1 - 20 of 341
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3 May 2024, 11:49 am by Silver Law Group
Morgan Stanley Smith Barney, LLC and Morgan Stanley Smith Barney Financing, LLC filed an arbitration action against Adusei for breach of promissory note. [read post]
28 Feb 2024, 6:37 pm by D. Daxton White
” These letters are called activity letters and most brokerage firms send them, including Morgan Stanley, Bank of America, Wells Fargo, Merrill Lynch, Citigroup (Smith Barney), and Ameriprise. [read post]
29 Jan 2024, 12:00 pm by The White Law Group
  Morgan Stanley operates under the following names: CITIGROUP INSTITUTIONAL CONSULTING, SMITH BARNEY, PRIVATE PORTFOLIO GROUP, MORGAN STANLEY WEALTH MANAGEMENT, MORGAN STANLEY SMITH BARNEY LLC,  GRAYSTONE CONSULTING, CONSULTING GROUP, among others according to its CRD. [read post]
9 Nov 2023, 6:29 am by Silver Law Group
(CRD# 8174) of Paramus, NJ, Morgan Stanley Smith Barney (CRD# 149777) and Citigroup Global Markets Inc. [read post]
4 Aug 2023, 7:34 am by Silver Law Group
According to FINRA Disciplinary actions for July 2023, the following individuals were suspended from FINRA for failing to comply with a FINRA arbitration award or settlement agreement pursuant to FINRA rules: NAME FORMER EMPLOYERS   Michael Borning   Pruco Securities, LLC   Wells Fargo Clearing Services, LLC   Conway Donaldson   Morgan Stanley Smith Barney   Merrill Lynch, Pierce, Fenner & Smith Incorporated  … [read post]
18 May 2023, 11:11 am by Staff Attorney
  According to records kept by The Financial Industry Regulatory Authority (FINRA), Hershberg was employed by Morgan Stanley Smith Barney, LLC (Morgan Stanley) at the time of the activity. [read post]
1 May 2023, 3:49 am
LLC,MORGAN STANLEY SMITH BARNEY LLC, AND MORGAN STANLEY, Defendants. [read post]
10 Jan 2023, 7:39 am by The White Law Group
  The SEC also brought enforcement actions against JPMorgan, UBS, TradeStation Securities and Morgan Stanley Smith Barney for failing to have sufficient procedures to protect investors’ personal information, in violation of the SEC’s Identity Theft Red Flags Rule. [read post]
6 Oct 2022, 5:29 am by Stoltmann Law Offices
According to court documents, Good was employed as a registered representative and investment advisor for Morgan Stanley Smith Barney, LLC in Wilmington. [read post]
1 Oct 2022, 8:14 am by Staff Attorney
  According to records kept by The Financial Industry Regulatory Authority (FINRA), Good was employed by Morgan Stanley Smith Barney, LLC (Morgan Stanley) at the time of the activity. [read post]
26 Sep 2022, 8:00 am by Savage Villoch Law, PLLC
On September 20, 2022, the SEC fined financial services giant Morgan Stanley Smith Barney (“MSSB”) $35 million for failing to adequately protect its customer’s records and personal identifying information (“PII”). [1] The fine was entered via a settlement between the SEC and MSSB, through which MSSB has agreed to pay a civil penalty for the SEC’s charges without admitting to nor denying the violations. [2] MSSB is a subsidiary… [read post]
22 Sep 2022, 9:23 am by Silver Law Group
  Worden Capital Management LLC   Steven Wyatt   Morgan Stanley Smith Barney   Morgan Stanley & Co, Incorporated Brokers and brokerage firms are obligated to satisfy all FINRA arbitration judgements, without any unreasonable or unwarranted delay. [read post]
20 Sep 2022, 12:11 pm by Steve Bainbridge
Via Matt Levine, I learn of a SEC complaint against MorganStanley Smith Barney (MSSB): The Securities and Exchange Commission today announced charges against Morgan Stanley Smith Barney LLC (MSSB) stemming from the firm’s extensive failures, over a five-year period, to protect the personal identifying information, or PII, of approximately 15 million customers. [read post]