Search for: "Wells Fargo Securities, LLC" Results 401 - 420 of 669
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19 Sep 2017, 3:06 pm by Renae Lloyd
Wells Fargo reportedly discharged Thoreson for “allegations related to financial advisor’s trading and personal dealings in a non-exchange listed security. [read post]
12 Sep 2017, 6:43 am by Blum Law Group
(FINRA Case #2014040326101)  Wells Fargo Securities, LLC (CRD #126292, Charlotte, North Carolina) – An AWC (Accept Waiver & Consent) was issued in which the firm was censured, fined $3,250,000, and required to review its supervisory systems and processes. [read post]
7 Sep 2017, 10:31 am by Malecki Law Team
  In a subsequent research report from March 2014, Wells Fargo Securities named Seadrill’s subsidiary, Seadrill Partners, LLC (ticker symbol, SDLP), its “top Marine MLP Pick” and predicted “solid distribution growth” through 2015. [read post]
25 Aug 2017, 6:04 am
Miller, Ethics Metrics LLC, on Saturday, August 19, 2017 Tags: Banks, Capital requirements, Deposit insurance, Disclosure, Dodd-Frank Act, FDIC, Financial institutions, Financial regulation, Financial reporting, FSOC, Information asymmetries, Information environment, Investor protection, SEC, Stress tests, Systemic risk, Transparency Sales Practices: Third-Party Risk Management Matters Too Posted… [read post]
18 Aug 2017, 6:44 am by Renae Lloyd
Wells Fargo Securities Censured & Fined for Supervisory Issues According to FINRA, on June 21, 2017, Wells Fargo Securities, LLC (CRD #126292, Charlotte, North Carolina) was issued an AWC in which the firm was censured, fined $3,250,000, and required to review its supervisory systems and processes. [read post]
5 Aug 2017, 11:50 am by Wolfgang Demino
., LLC, 837 F.3d 918, 932 (8th Cir. 2016) (finding viable FDCPA claims based on amounts "misstated by $1.29, $1.84, and $0.65" because "there [i]s no de minimis exception to FDCPA liability based upon low dollar amounts").[4]FULL TEXT OF DISSENTING OPINION  STEPHEN A. [read post]
21 Jul 2017, 8:52 am by Adam Gana
He is currently employed at Wells Fargo Clearing Services, LLC and has been employed there since January 2013. [read post]
21 Jul 2017, 6:04 am
Pastuszenski, Goodwin Procter LLP, on Tuesday, July 18, 2017 Tags: California, Class actions, Jurisdiction, New York, PSLRA, Securities Act, Securities litigation, Shareholder suits, SLUSA, State law, Supreme Court CalPERS v. [read post]
16 Jul 2017, 4:22 pm by WOLFGANG DEMINO
They executed a note with an original principal of $219,900 as well as a Deed of Trust in favor of First Consolidated Mortgage Company to secure payment. [read post]
9 Jul 2017, 7:47 am by Adam Weinstein
  From July 2003 until August 2016 Mirer was associated with Wells Fargo Advisors, LLC. [read post]
3 Jul 2017, 1:52 pm by Adam Weinstein
  Lucker is currently employed by Wells Fargo Clearing Services, LLC (Wells Fargo). [read post]
16 Jun 2017, 5:54 am by Adam Weinstein
On November 22, 2016 Wells Fargo Advisors (Wells Fargo) terminated Hill based on activity alleged to have happened at his prior firm when the broker entered into an AWC with FINRA agreeing to a fifteen month suspension from the industry. [read post]
14 Jun 2017, 12:51 pm by Renae Lloyd
The White Law Group, LLC is a national securities fraud, securities arbitration, investor protection, and securities regulation/compliance law firm with offices in Chicago, Illinois and Vero Beach, Florida. [read post]
31 May 2017, 6:07 am by Adam Weinstein
  From May 2008 until March 2013, Russell was associated with Wells Fargo Advisors, LLC. [read post]
17 May 2017, 6:42 am by Adam Weinstein
Our firm is investigating claims made by various regulators and brokerage firms including the State of Washington against broker Douglas Donnelly (Donnelly), formerly associated with brokerage firms Wells Fargo Advisors, LLC (Wells Fargo), Northwest Asset Management (Northwest), and Dinosaur Financial Group, L.L.C. [read post]