Search for: "Security Administrative Services, LLC" Results 81 - 100 of 1,456
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9 May 2024, 9:35 am by jeffreynewmanadmin
This case was investigated by the FBI; General Services Administration, Office of Inspector General; Defense Criminal Investigative Service; Department of Commerce, Bureau of Industry and Security; Air Force Office of Special Investigations; Homeland Security Investigations; and Department of State, Directorate of Defense Trade Controls. [read post]
8 Dec 2014, 8:21 am
The complaint requests that the state Securities Commissioner revoke Respondents' registration with the state, levy an administrative fine, and issue a cease and desist order prohibiting any further fraudulent behavior. [read post]
Greenberg was the CEO of his investment advisory firm Tactical Allocation Services LLC that made investment recommendations to clients, and the head portfolio manager for his other investment advisory firm Agile Group, LLC, which managed the Agile hedge funds. [read post]
13 Nov 2019, 5:48 am by Alan Rosca
At the time of investigation, Robert Meyers is not registered with any FINRA member firm, though he was last in the employment of Wells Fargo Clearing Services LLC until 2017. [read post]
13 Nov 2019, 5:48 am by Alan Rosca
At the time of investigation, Robert Meyers is not registered with any FINRA member firm, though he was last in the employment of Wells Fargo Clearing Services LLC until 2017. [read post]
11 Mar 2016, 6:00 am by Patricia Klusmeyer
Parker MacIntyre, LLC provides legal and compliance services to investment advisers, broker dealers, registered representatives, hedge funds, and issuers of securities, among others. [read post]
10 Nov 2013, 3:14 pm by Mark Zamora
Food and Drug Administration announced today that USPlabs LLC, of Dallas, Texas, is recalling certain OxyElite Pro dietary supplement products that the company markets. [read post]
3 Mar 2011, 6:38 pm by admin
FDA/OCI Task Force, comprised of agents from ICE – Homeland Security Investigations; Internal Revenue Service – Criminal Investigations Division; U.S. [read post]
7 Oct 2016, 12:49 pm
The attorneys of Eccleston Law LLC represent investors and advisers nationwide in securities and employment matters. [read post]
11 Oct 2017, 6:17 am
On September 21, 2017, U.S. authorities announced the first major Foreign Corrupt Practices Act settlement under the Trump administration—a $965 million global resolution with a Sweden-based international telecommunications company, Telia Company AB, and its indirectly owned subsidiary in Uzbekistan, Coscom LLC. [read post]
25 Jan 2019, 12:10 pm by Elizabeth Dalziel
Demonstrating its regulatory interest in the robo adviser industry, on December 21, 2018, the Securities and Exchange Commission issued an Order Instituting Administrative and Cease-and-Desist Proceedings against Wealthfront Advisers, LLC, a registered investment adviser which uses a software-based “robo adviser” platform in servicing its clients. [read post]
14 May 2009, 8:16 am
There are already thousands of investor lawsuits pending, many of them brought by the Atlanta law firm of Page Perry, LLC, a financial services fraud boutique firm with a national practice. [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]