Search for: "Financial Industry Regulatory Authority, Inc." Results 221 - 240 of 3,168
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23 Jun 2020, 6:19 am by Staff Attorney
  According to records kept by The Financial Industry Regulatory Authority (FINRA), Ayre’s customer complaints alleges that Ayre recommended unsuitable investments in various investments including allegations of concentrations in energy securities and corporate debt among other allegations of misconduct relating to the handling of their accounts. [read post]
27 Jul 2017, 7:13 am by Renae Lloyd
Anthony Ferrone  Barred for Allegations of Unsuitable trading According to reports, The Financial Industry Regulatory Authority Inc. has barred former Morgan Stanley broker Anthony  Ferrone from the securities industry due to allegations he engaged in unsuitable trading of unit investment trusts in clients’ accounts. [read post]
24 Jun 2018, 8:15 am by Staff Attorney
According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) advisor Hector May (May), formerly associated with Securities America, Inc. [read post]
4 Feb 2011, 6:07 am by Mary Todd
The Securities and Exchange Commission approved a Financial Industry Regulatory Authority, Inc. proposal giving investors the option to have an all-public arbitration panel. [read post]
11 Dec 2017, 8:45 am by Renae Lloyd
Beck Inc. for Supervisory Issues According toThe Financial Industry Regulatory Authority, on September 27, 2017, H. [read post]
14 May 2008, 11:08 am
GunnAllen Financial Inc. has settled Financial Industry Regulatory Authority charges that it was allegedly involved in a trade allocation scheme, in addition to several reporting, anti-money laundering, supervisory, and recordkeeping deficiencies. [read post]
17 Oct 2016, 7:26 am by Adam Weinstein
The securities lawyers of Gana LLP are investigating a customer complaints filed with The Financial Industry Regulatory Authority (FINRA) against broker Kim Isaacson (Isaacson). [read post]
11 Mar 2022, 10:05 am by The White Law Group
FINRA Fines Deutsche Bank Securities, Inc. $2 Million For Best Execution Violations  The Financial Industry Regulatory Authority (FINRA) announced that it has fined Deutsche Bank Securities, Inc. $2 million for failing to comply with its obligation to seek “best execution” for its customers’ orders, according to a press release on March 8. [read post]
9 Jul 2009, 3:05 am
District Court in Norfolk, Virginia just issued an important ruling on the effects of non-compete/non-solicitation agreements on financial advisors who are regulated by the Financial Industry Regulatory Authority or "FINRA. [read post]
21 Nov 2013, 8:02 am by Adam Weinstein
Zeng (Zeng) was recently barred from the financial industry by The Financial Industry Regulatory Authority (FINRA) over allegations that the broker failed to respond to the regulator’s inquiries concerning at least a dozen customer disputes initiated against the broker. [read post]
30 Dec 2016, 2:09 am
When it comes to arbitrating a dispute at the Financial Industry Regulatory Authority, said time and tide have a shelf life of six years. [read post]
4 Sep 2013, 3:14 am
 If nothing else, such litigation after death gives a lot of lawyers an opportunity to earn legal fees.In a Financial Industry Regulatory Authority (“FINRA”) Arbitration Statement of Claim filed in April 2012, Claimant GunnAllen Financial, Inc. by and through Soneet R. [read post]
20 Mar 2016, 7:25 am by Adam Weinstein
The investment lawyers of Gana LLP are investigating a regulatory action brought by the Financial Industry Regulatory Authority (FINRA) against Ameriprise Financial Services, Inc. [read post]
20 Jan 2012, 9:55 am
A Financial Industry Regulatory Authority (FINRA) arbitration panel issued an Award on January 13, 2012 ordering CapWest Securities, Inc. [read post]
14 Jun 2018, 7:29 am by Renae Lloyd
Censured & Fined According to the Financial Industry Regulatory Authority (FINRA), on June 12, 2018, Northeast Securities Inc. [read post]
20 Mar 2012, 6:23 am
The Financial Industry Regulatory Authority (FINRA) has fined Citi International Financial Services, LLC ("Citi"), a subsidiary of Citigroup, Inc., $600,000 and ordered it to pay $648,000 in restitution for excessive markups and markdowns charged to customers on bond transactions. [read post]
31 Jul 2015, 2:58 pm by Adam Nicolazzo
According to a recent Acceptance, Waiver & Consent (“AWC”) submitted by broker Brian Berger with the Financial Industry Regulatory Authority (FINRA), Mr. [read post]
16 Nov 2023, 6:28 am by Banks Law Office
Recently, Traderfield Securities Inc. and its principal, Mario Divita, found themselves at the center of regulatory scrutiny by the Financial Industry Regulatory Authority (FINRA). [read post]