Search for: "Smith Barney Inc." Results 41 - 60 of 212
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9 Aug 2015, 2:56 pm by Adam Weinstein
The Financial Industry Regulatory Authority (FINRA) issued a press release concerning two settlements fining Morgan Stanley Smith Barney, LLC (Morgan Stanley) $650,000 and Scottrade, Inc. $300,000 for failing to implement reasonable supervisory systems to monitor the transmittal of customer funds to third-party accounts. [read post]
24 Jun 2007, 4:26 am
Merrill Lynch, Morgan Stanley, Smith Barney and Charles Schwab are being sued for claims they improperly directed their clients's funds into lower paying deposit accounts at affiliate banks, enabling those banks to reap billions in extra profits. [read post]
22 Jan 2021, 12:13 pm by Silver Law Group
His previous employers include Morgan Stanley Smith Barney (CRD#:149777) and Citigroup Global Markets Inc. [read post]
2 Dec 2009, 7:49 am by Page Perry LLC
In the case of the Morgan Stanley Smith Barney offer, the article said, reps need to increase assets and production by 50% over the first five years, with specific growth targets set for each year. [read post]
8 Jan 2018, 3:13 am
I’m not blaming the parties but I’m sorta wonderin’ if FINRA couldn’t have, you know, read through a draft of the proposed FINRA Arbitration Decision and, well, okay, like maybe asked for a tad more content and context as in, well, like, how should I put it, like, just what the hell is it that the Claimants alleged had happened at Morgan Stanley Smith Barney concerning, lemme see, oh yeah, concerning their “purchase of call options in Apple, Inc.… [read post]
27 Aug 2015, 9:01 am
From the Desk of Jim Eccleston at Eccleston Law LLC: Two Citigroup affiliates, Citigroup Global Markets Inc. [read post]
11 Nov 2011, 10:03 am
Inc., and its subsidiary Morgan Stanley Smith Barney LLC, have been fined $1 million and censured by the Financial Industry Regulatory Authority, or FINRA, for excessive markups and markdowns that were charged to customers on corporate and municipal bond transactions. [read post]
20 Sep 2022, 12:11 pm by Steve Bainbridge
Via Matt Levine, I learn of a SEC complaint against MorganStanley Smith Barney (MSSB): The Securities and Exchange Commission today announced charges against Morgan Stanley Smith Barney LLC (MSSB) stemming from the firm’s extensive failures, over a five-year period, to protect the personal identifying information, or PII, of approximately 15 million customers. [read post]
29 Dec 2020, 12:04 pm by Silver Law Group
(CRD#:6363), Morgan Stanley Smith Barney (CRD#:149777) and Citigroup Global Markets Inc. [read post]
7 Mar 2022, 7:24 am by Silver Law Group
His previous employer employers include Merrill Lynch, Pierce, Fenner & Smith Incorporated (CRD#:7691) of Miamisburg, OH, Morgan Stanley Smith Barney (CRD#:149777) and Citigroup Global Markets Inc. [read post]
24 Jul 2007, 11:37 am
  The New York Stock Exchange hit Smith Barney with a $50 million fine for charges centered around market timing activities. [read post]
22 Sep 2011, 1:30 pm by Chad Bray
The lawsuit, filed in 2005, alleges various misrepresentation by an investment advisor for certain Smith Barney mutual funds, which later were acquired by Citigroup Inc. [read post]
7 Dec 2010, 2:24 am by gmlevine
This is when the lexical elements “eliminate the possibility of confusion,” Morgan Stanley and Morgan Stanley Smith Barney Holdings LLC v. [read post]
10 Apr 2021, 9:51 am by Staff Attorney
From 1989 through 1990, Greenstone was registered with Smith Barney Harris Upham & Co, Inc. [read post]
21 May 2020, 7:05 am by Silver Law Group
According to FINRA Disciplinary actions for February 2020, the following individuals were suspended from FINRA for failing to comply with a FINRA arbitration award or settlement agreement pursuant to FINRA rules: NAME FORMER EMPLOYERS   Cline, Kevin   Source Capital Group, Inc   Ridgemont Securities, Inc   Delaney, Maxwell   Brill Securities, Inc   National Securities Corporation   Henrich, Todd   National Securities Corp  … [read post]
8 Jun 2010, 10:00 am by Richard D. Worth
Newbridge Securities, Inc. in finding that in some instances, ERISA fiduciary status may in fact affect whether a state law claim is preempted. [read post]