Search for: "Ameriprise Financial Services Inc" Results 221 - 240 of 248
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1 Sep 2011, 11:58 am
For example, in one case, where a broker had forged approximately twenty (20) illegal transfers, stealing hundreds of thousands of dollars from public customers, the brokerage firm told regulators that the stockbroker was fired because of andquot;signature discrepancies.andquot; Recently also Ameriprise Financial Services Inc. was fined $50,000 by FINRA for the failure to adequately supervise and prevent misconduct by one of its brokers, William Ray Collins, Jr.,… [read post]
Following a $160 million settlement with investors after they sued the Securities America over failed private placements that were sold by the firm’s brokers between 2003 and 2008, Ameriprise Financial Inc. put the firm up for sale. [read post]
27 Jul 2011, 12:08 pm
Firms are also reminded to ensure that their registered representatives understand the risks, terms and costs associated with these products, and that they perform an adequate suitability analysis before recommending them to any customer.andquot; Last week, the Georgia Secretary of State Securities Division issued several subpoenas, requestingandnbsp;documents and information fromandnbsp;Morgan Stanley, UBS, and Ameriprise Financial Inc. in its investigation… [read post]
9 Mar 2011, 8:15 am by Keith Griffin
(n/k/a Ameriprise Advisor Services, Inc.) $200,000 for failing to establish adequate supervisory systems and procedures for sales of the notes to retail customers. [read post]
7 Mar 2011, 12:17 pm
Securities America is owned by Ameriprise Financial Services, which reported a profit of $1.1 billion in 2010 on revenue of nearly $10 billion. [read post]
11 Feb 2011, 7:52 am
Under the terms of the settlement, UBS Securities LLC and UBS Financial Services, Inc. have agreed to offer the repurchase of $1.5 billion in ARS sold to retail investors in New Jersey. [read post]
17 Dec 2010, 9:00 am
Some of them are the Ameriprise Financial Services, Wells Fargo Advisors, LPL Financial, and Edward Jones, Charles Schwab, Chase Investment Services, Morgan Stanley Smith Barney, Raymond James, Merrill Lynch and some others. [read post]
3 May 2010, 8:56 pm
Ameriprise Financial Services Inc., with a $28,511,100 average AUM/rep 8. [read post]
17 Feb 2010, 11:23 am
(n/k/a Ameriprise Advisor Services, Inc.) $200,000 for failing to establish adequate supervisory procedures in connection with the sale of reverse convertible notes. [read post]
17 Feb 2010, 11:23 am by Jason R. Doss
(n/k/a Ameriprise Advisor Services, Inc.) $200,000 for failing to establish adequate supervisory procedures in connection with the sale of reverse convertible notes. [read post]
17 Feb 2010, 6:19 am
The Financial Industry Regulatory Authority (FINRA) announced its first enforcement action involving the sales of reverse convertible notes (RCNs) — fining H&R Block Financial Advisors, Inc., (n/k/a Ameriprise Advisor Services, Inc.) $200,000 for failing to establish adequate supervisory systems and procedures for supervising sales of RCNs to retail customers. [read post]
17 Feb 2010, 6:19 am by Blum & Silver, LLP
The Financial Industry Regulatory Authority (FINRA) announced its first enforcement action involving the sales of reverse convertible notes (RCNs) — fining H&R Block Financial Advisors, Inc., (n/k/a Ameriprise Advisor Services, Inc.) $200,000 for failing to establish adequate supervisory systems and procedures for supervising sales of RCNs to retail customers. [read post]
16 Feb 2010, 12:11 pm by Securites Lawprof
FINRA announced its first enforcement action involving the sales of reverse convertible notes (RCNs) — fining H&R Block Financial Advisors, Inc., (n/k/a Ameriprise Advisor Services, Inc.) $200,000 for failing to establish adequate supervisory systems and procedures for supervising sales of... [read post]
The five units will be as follows: The Asset Management Unit to focus on investment advisers, investment companies, hedge funds and private equity funds; The Market Abuse Unit to focus on large-scale market abuses and complex manipulation schemes by institutional traders, market professionals and others; The Structured and New Products Unit to focus on complex derivatives and financial products, such as credit default swaps, collateralized debt obligations and other securitized products;… [read post]
4 Dec 2009, 12:29 pm by Brett Alcala
Medical Capital Holdings On September 18, 2006, a class action lawsuit was filed in the Central District of California against the following brokerage firms Securities America, Inc., Ameriprise Financial, Inc., CapWest Securities, Inc, and Cullum & Burks Securities, Inc on behalf of investors that invested in Medical Capital Notes issued by Medical Provider Financial Corp. [read post]
11 Jul 2009, 8:41 am
The SEC announced that broker-dealer Ameriprise Financial Services, Inc., settled charges alleging that it received millions of dollars in undisclosed compensation as a condition for offering and selling certain real estate investment trusts (REITs) to its brokerage customers. [read post]
19 May 2009, 6:27 am
., Ameriprise Financial Inc., Hartford Financial Services Group Inc., Lincoln National Corp., Principal Financial Group Inc., and Prudential Financial Inc.Ameriprise has already turned down the government’s offer and, according to industry reports, Prudential is also expected to turn down TARP funds. [read post]