Search for: "Account Portfolio Management, LLC" Results 41 - 60 of 397
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8 Apr 2009, 6:39 pm
The ex-brokers say they were pressured into selling Fidelity's life insurance products and Portfolio Advisory Services. [read post]
11 Apr 2016, 11:28 am by Mark Astarita
·         Morgan Stanley Investment Management and one of its portfolio managers who paid nearly $9 million for unlawfully conducting “parking” trades that favored certain advisory client accounts over others that included an investment company. [read post]
28 Mar 2013, 1:01 pm by David Cosgrove
Gerasimowicz, Meditron Management Group, LLC (MMG) and Meditron Asset Management, LLC (MAM), for misusing client hedge fund assets from September 2009 through September 2011. [read post]
17 Jun 2013, 6:00 am by Richard Kummer
The limited information provided to the directors was particularly problematic because fair valued securities comprised a significant percentage of the funds' net asset values (NAVs) - in most cases above 60 percent.The settled order finds that the valuation committee to whom the directors delegated the fair valuation responsibilities did not utilize reasonable procedures and often allowed the portfolio manager to arbitrarily set values. [read post]
26 Nov 2014, 6:47 am by Adam Gana
You can reach our managing partner directly by email at agana@ganallp.com or call us at 212-776-4251. [read post]
26 May 2016, 7:10 am by Steve Parker
Earlier this month, the Securities and Exchange Commission (“SEC”) instituted an administrative proceeding against Blue Ocean Portfolios, LLC (“Blue Ocean”), an SEC-registered investment advisor with approximately $106 million in regulatory assets under management, and its Principal, CEO and Chief Compliance Officer, James A. [read post]
13 Feb 2023, 5:59 am by Kevin LaCroix
Under the LLC Act, a person who participates materially in the management of the limited liability company, irrespective of whether the governing LLC agreement formally names such person(s) as a manager, constitutes an acting manager. [read post]
15 Apr 2019, 11:03 am by Renae Lloyd
The post Oakdale Wealth Management Advisers | Investigation appeared first on The White Law Group. [read post]
13 Mar 2019, 6:09 am by zamansky
Investors are therefore forced to blindly rely upon the UBS YES portfolio managers. [read post]
6 Aug 2014, 7:01 am
In addition, account fees for Horizon Global’s dwindling assets under management were inflated to ridiculous proportions – up to 800% – as client funds were squandered. [read post]
10 Apr 2023, 11:49 am by The White Law Group
  Arete Wealth Management Customer Complaints    The White Law Group has filed claims on behalf of investors against Arete Wealth Management. [read post]
15 Aug 2022, 7:53 am by Alan Rosca
Atlanta-based Angel Oak Capital Advisors, LLC and its portfolio manager Ashish Negandhi recently settled securities fraud allegations brought by the Securities and Exchange Commission (SEC) in connection with alleged inaccurate disclosures about mortgage delinquency rates made to investors in AOMT 2018-PB1 notes, according to an Order Instituting Administrative and Cease-and-Desist Proceedings under the review by attorney Alan Rosca. [read post]
15 Aug 2022, 7:53 am by Alan Rosca
Atlanta-based Angel Oak Capital Advisors, LLC and its portfolio manager Ashish Negandhi recently settled securities fraud allegations brought by the Securities and Exchange Commission (SEC) in connection with alleged inaccurate disclosures about mortgage delinquency rates made to investors in AOMT 2018-PB1 notes, according to an Order Instituting Administrative and Cease-and-Desist Proceedings under the review by attorney Alan Rosca. [read post]
15 Aug 2022, 7:53 am by Alan Rosca
Atlanta-based Angel Oak Capital Advisors, LLC and its portfolio manager Ashish Negandhi recently settled securities fraud allegations brought by the Securities and Exchange Commission (SEC) in connection with alleged inaccurate disclosures about mortgage delinquency rates made to investors in AOMT 2018-PB1 notes, according to an Order Instituting Administrative and Cease-and-Desist Proceedings under the review by attorney Alan Rosca. [read post]
29 Aug 2012, 11:30 am
The Trust Advisor then directs the Trustee to vote its LLC interest to appoint the child as Manager of the LLC. [read post]
18 Dec 2013, 9:22 am by D. Daxton White
A UIT portfolio is un-managed and fixed, meaning the investments are not actively traded. [read post]
4 Oct 2016, 7:19 am by John Jascob
The Division seeks to permanently bar Morgan Stanley from engaging in these banking and securities cross-selling practices, to censure the firm and impose an administrative fine, and to obtain equitable relief for the firm’s clients (In the Matter of Morgan Stanley Smith Barney LLC, October 3, 2016).According to the complaint, Morgan Stanley created the sales contest to persuade its retail wealth management clients to take out securities-based loans via portfolio… [read post]
4 Feb 2023, 6:30 am
Posted by Jonathan Bailey, Savannah Irving, Neuberger Berman LLC, on Saturday, February 4, 2023 Editor's Note: Jonathan Bailey is a Managing Director and Head of ESG Investing, and Savannah Irving is an Associate at Neuberger Berman LLC. [read post]
4 Feb 2023, 6:30 am
Posted by Jonathan Bailey, Savannah Irving, Neuberger Berman LLC, on Saturday, February 4, 2023 Editor's Note: Jonathan Bailey is a Managing Director and Head of ESG Investing, and Savannah Irving is an Associate at Neuberger Berman LLC. [read post]