Search for: "Wells Fargo Dealer Services Inc." Results 41 - 60 of 66
Sort by Relevance | Sort by Date
RSS Subscribe: 20 results | 100 results
20 Apr 2018, 11:01 am by Gail Whittemore
Unfortunately, it appears that none of the $1 billion will be paid directly to the victims of Wells Fargo’s abuses. [read post]
14 Feb 2017, 2:34 pm by Malecki Law Team
  He was previously registered with UBS Financial Services, Inc. from November 1998 to March 2008, according to BrokerCheck records. [read post]
16 Aug 2016, 5:57 am by SHG
“It was pretty simple and straightforward,” Aaron Hogue, co-owner of Hogue Inc., said of the situation he faced with Wells Fargo bank. [read post]
16 Feb 2016, 12:06 pm by Lax & Neville LLP
  VSR is a small, full-service securities broker-dealer founded in 1985, focusing on long-term strategies and products. [read post]
4 Nov 2015, 11:09 am
They were fined a cumulative total of $18.4 million according to FINRA’s most recent announcement.This follows a similar type of case three months earlier in which Wells Fargo, Raymond James, and LPL Financial were fined a combined $30 million for improper charging of fees. [read post]
8 Sep 2015, 8:07 am by Adam Nicolazzo
In another blog post, Malecki Law cited fines against Citigroup Global Markets, Inc., Morgan Stanley & Co, LLC, UBS Financial Services, and Wells Fargo Advisors, LLC for permitting recommendations of inverse and leveraged ETFs without proper supervision. [read post]
9 Jul 2015, 11:27 am
At least one broker-dealer, Wells Fargo Advisors, currently faces investor loss recovery claims in arbitration.Broadmeadow Capital, which is affiliated with F-Squared rival Good Harbor Financial, is petitioning the bankruptcy court to take over the remaining assets.The attorneys of Eccleston Law LLC represent investors and advisers nationwide in securities and employment matters. [read post]
16 Jan 2015, 12:01 pm
No.5: Two independent broker-dealers owned by Ladenburg Thalmann Financial Services Inc. fined for $1.275 millionReason for Fine: Failure to supervise hundreds of brokers who created and sent false and inaccurate consolidated account statements to clients. [read post]
12 Sep 2014, 3:01 pm by John Jascob
The working group will also include broker-dealer representatives from Signator Investments Inc., Prospera Financial Services, LPL Financial, Wells Fargo Advisors, Edward Jones, and Bank of America/Merrill Lynch.Lack of uniformity. [read post]
1 Jul 2014, 7:01 am
From the Desk of Jim Eccleston at Eccleston Law Offices: According to a survey by InvestmentNews for 2013, the top five Independent broker-dealers firms ranked by total account assets are: LPL Financial, with total account assets of $437,906.7 M Raymond James Financial Services Inc., with total account assets of $191,660.5M Northwestern Mutual, with total account assets of $100,090.9M Commonwealth Financial Network, with total account assets of… [read post]
6 May 2014, 8:43 am by Ed. Microjuris.com Puerto Rico
Bauer-Álvarez has successfully represented Wells Fargo Bank, N.A., the indenture trustee and successful plan proponent in In re El Comandante Management Corp.; the representation of the DIP Lender and purchaser of the assets in In re Newcomm Wireless Services, Inc., the representation of Pueblo, Inc. in the acquisition of the Pueblo Supermarkets chain in In re Nutritional Sourcing Corporation, and the representation of the Puerto Rico Tourism… [read post]
10 Mar 2014, 10:55 am by D. Daxton White
Claimant(s) Respondent(s) Award of Panel 11-03013 Auto City Service, Inc., Auto City Clark, Inc., and Fowlerville Exit Shell Service, Inc. [read post]
7 Feb 2013, 2:54 pm by Ken
He has litigated cases against Intel Corporation, Toyota Motor Sales, USA, Inc., Honda North America, Inc., Aston Martin Lagonda of North America, Inc., BMW of North America, LLC, Mercedes-Benz USA, LLC, Keyes European, LLC, Rusnak Enterprises, LLC and Wells Fargo Auto Finance, Inc. [read post]
28 Jan 2013, 6:15 am by D. Daxton White
Last May, Finra ordered broker-dealers of four major banks, Wells Fargo & Co., Citigroup Global Markets Inc., Morgan Stanley and UBS Financial Services Inc., to pay $9.1 million in fines and restitution for selling such funds “without reasonable supervision and for not having a reasonable basis for recommending the securities. [read post]
13 Apr 2012, 11:49 am by William McGrath
The proceeding is unusual in that, while the Commission was still attempting to obtain information from Wells Fargo which it sought in investigative subpoenas, it sent Wells Fargo a "Wells Notice," stating that the Commission staff was "considering recommending" an enforcement action against the bank. [read post]
30 Nov 2011, 2:15 pm by Mandelman
 JP Morgan Chase went from A+ to A; Goldman Sachs, Bank of America, Morgan Stanley and Citigroup were downgraded from A to A-; and Wells Fargo was cut from AA- to A+. [read post]
14 Jun 2011, 9:39 pm
., No. 29951-10, the New York Supreme Court says that insurance company MBIA can sue Morgan Stanley and affiliates Saxon Mortgage Services Inc. and Morgan Stanley Mortgage Capital Holdings LLC for alleged misrepresentations about the risks involved in insuring residential mortgages that were sold to investors as mortgage-backed securities. [read post]
2 Feb 2011, 4:28 pm by Law Lady
VOYAGER PROPERTY AND CASUALTY INSURANCE COMPANY; VOYAGER SERVICE PROGRAMS, INC.; and PRO-TEC DEALER SERVICES, INC., Appellees. 2nd District.Municipal corporations -- Code enforcement liens -- City ordinance granting its code enforcement liens superpriority over a prior recorded mortgage conflicts with section 695.11, Florida Statutes, and ordinance must yield to statute -- Trial court properly entered summary judgment finding that prior recorded mortgage… [read post]