Search for: "National Financial Services LLC" Results 81 - 100 of 2,116
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15 Jun 2021, 5:50 am by Astarita
The Securities Law Blog is a service of SECLaw.com, and Mark Astarita, a national securities lawyer with the law firm of Sallah Astarita & Cox, LLC [read post]
19 Jul 2021, 5:55 am by Astarita
The Securities Law Blog is a service of SECLaw.com, and Mark Astarita, a national securities lawyer with the law firm of Sallah Astarita & Cox, LLC [read post]
21 Jun 2017, 11:23 am by Renae Lloyd
FINRA Fines Sterne Agee Financial Services for Compliance Issues According to FINRA, Sterne Agee Financial Services (CRD #18456, Birmingham, Alabama) submitted an AWC in which the firm was censured and fined $122,500. [read post]
21 Jun 2017, 11:23 am by Renae Lloyd
FINRA Fines Sterne Agee Financial Services for Compliance Issues According to FINRA, Sterne Agee Financial Services (CRD #18456, Birmingham, Alabama) submitted an AWC in which the firm was censured and fined $122,500. [read post]
13 Feb 2023, 7:20 am by The White Law Group
   Fortune Financial Services was censured and ordered to pay $612, 172.66 plus in restitution to investors, according the letter. [read post]
It is believed that some of the following entities were controlled by Triton and involved in this fraud: Triton Services, LLC d/b/a Triton Realty Triton Capital Services, LLC d/b/a Triton Land Development Tvest Group, LLC Capvest, LLC Triton Sports Management, Inc. [read post]
19 Oct 2023, 12:28 pm by Silver Law Group
Affinity fraud targets people identified by specific demographics, such as age, education, religion, race, or nationality. [read post]
20 Jul 2015, 1:59 pm by Steven J. Fink
On July 10, 2015, Judge Alvin Hellerstein of the Southern District of New York granted defendant WMC Mortgage LLC’s motion for judgment on the pleadings in an action brought by the Federal Housing Financial Agency (“FHFA”) and Deutsche Bank National Trust Co. [read post]
25 Jan 2011, 6:10 pm by Keith Griffin
Other defendants listed include National Securities, Next Financial Group and QA3 Financial Corp. [read post]
7 Jan 2021, 11:53 am by Renae Lloyd
The White Law Group is investigating potential securities claims involving Kestra Investment Services (CRD# 42046, Austin, Texas) Kestra Investment Services LLC is a national financial advisory firm headquartered in Austin, Texas. [read post]
5 Mar 2012, 7:11 am by D. Daxton White
If you have questions about investments you made with MML Investors Services, LLC, the securities attorneys of The White Law Group may be able to help.  [read post]
5 Mar 2012, 7:11 am by D. Daxton White
If you have questions about investments you made with MML Investors Services, LLC, the securities attorneys of The White Law Group may be able to help. [read post]
27 May 2024, 2:50 am by EitanBA
  Our client, Paula Sparkman, brought a class action against Comerica Bank and Conduent Business Services, LLC, alleging that the defendants wrongfully deny fraud claims made by consumers who receive child support payments on prepaid debit cards. [read post]
13 Dec 2018, 12:04 pm by Renae Lloyd
The White Law Group announces the filing of a FINRA Arbitration claim against Capital Financial Services, Inc. [read post]
29 Jun 2010, 1:47 pm
Broker-dealers that sold Provident Royalties private placements Firm name Total sales Total commission paid to BD Advisory Group Equity Services Ltd. $110,000 $70,650 AFA Financial Group LLC $2,455,000 $456,150 American Portfolios Financial Services Inc. $585,000 $66,650 Asset Management Strategies LLC $220,000 $2,250 Ausdal Financial Partners Inc. $100,000 $2,250 Barron Moore Inc. $250,000 $96,750 Boogie Investment Group… [read post]
12 Jan 2015, 5:00 pm
Our law firm has filed an overtime lawsuit against Spectrum Financial Services, LLC pursuant to the Federal Labors Standard Act ("FLSA"). [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]
28 Nov 2011, 1:16 pm by Harrison
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 Boca Raton, Florida. [read post]