Search for: "Morgan Stanley & Co. LLCĀ " Results 181 - 200 of 273
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11 Oct 2021, 7:24 am by Juan C. Antúnez
In 2018 I reported on a high profile case out of Tampa that resulted in a $34 million FINRA arbitration award against Morgan Stanley in favor of the estate of Roy M. [read post]
16 Mar 2020, 8:45 am by Green, Schafle & Gibbs
 Also, in 2012, FINRA sanctioned Citigroup global markets, LLC, Morgan Stanley and Co LLC; UBS Financial services; and Wells Fargo advisors LLC over more than $9.1million dollars for selling leveraged and inversed ETFs without reasonable supervision and for not having a reasonable basis for recommending the securities. [read post]
9 Dec 2009, 8:22 pm by Victoria VanBuren
(post available here) Perhaps the most significant case decided this year by the Texas Supreme Court was In re Morgan Stanley & Co., Inc. [read post]
8 Sep 2015, 8:07 am by Adam Nicolazzo
In another blog post, Malecki Law cited fines against Citigroup Global Markets, Inc., Morgan Stanley & Co, LLC, UBS Financial Services, and Wells Fargo Advisors, LLC for permitting recommendations of inverse and leveraged ETFs without proper supervision. [read post]
26 Aug 2014, 10:13 am by Mary Jane Wilmoth
LLC; Morgan Stanley ABS Capital I Inc.; and Morgan Stanley Mortgage Capital Holdings LLCAdministrative Proceeding File No. [read post]
14 Feb 2022, 10:37 am by The White Law Group
   According to his FINRA Broker report, Welsh was reportedly affiliated with the following firms during his 17-year career in the securities industry:   09/07/2012 – 07/08/2021, WELLS FARGO CLEARING SERVICES, LLC (CRD#:19616), FAIRFIELD, NJ 06/01/2009 – 10/05/2012, MORGAN STANLEY SMITH BARNEY (CRD#:149777), FAIRFIELD, NJ 04/02/2007 – 06/01/2009, MORGAN STANLEY &… [read post]
30 Dec 2022, 7:37 am by Silver Law Group
  National Planning Corporation   Michael Richie   Fidelity Brokerage Services LLC   Edward Von Der Schmidt   Morgan Stanley & Co. [read post]
1 Jun 2022, 9:16 am by Silver Law Group
  AIG Capital Services, Inc   Jun Ouyang   Morgan Stanley & Co., LLC   Stephen Wenske   Edward Jones FINRA makes this information available, in part, to inform investors about potential red flags or problems with certain stockbrokers. [read post]
15 Sep 2017, 11:51 am by Mark Astarita
 Morgan Stanley Smith Barney LLC, which resulted in $13 million in monetary relief for alleged overcharges to clients of more than $16 million and alleged violations of the custody rule and compliance rule. [read post]
5 Jun 2024, 6:51 am by Dan Bressler
Meyer disclosed in his first Supplemental Declaration that V&E represents certain members of the Ad Hoc Group in unrelated matters… Specifically, V&E represents Ares Management, LLC, Morgan Stanley & Co., LLC, Oaktree Capital Management, LP, and Monarch Alternative Capital LP. [read post]
29 Jun 2016, 4:27 pm by Sabrina I. Pacifici
.; JP Morgan Chase & Co.; Keycorp; M&T Bank Corporation; MUFG Americas Holdings Corporation; Northern Trust Corp.; The PNC Financial Services Group, Inc.; Regions Financial Corporation; State Street Corporation; SunTrust Banks, Inc.; TD Group US Holdings LLC; U.S. [read post]
11 Sep 2012, 6:23 pm
To settle Financial Industry Regulatory Authority allegations that it committed numerous violations involving dealings between investment banking and research functions, Rodman & Renshaw LLC has agreed to pay a $315,000 fine. [read post]
19 Feb 2021, 7:40 am by Silver Law Group
  Justin Harris   Morgan Stanley   Wells Fargo Advisors, LLC   Eric Roark   Ameriprise Financial Services, LLC   Oppenheimer & Co. [read post]