Search for: "STANLEY SMITH" Results 101 - 120 of 887
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1 Jun 2022, 11:12 am by Alan Rosca
Between December 2010 and April 2015, Francisco Valenzuela was registered with Merrill Lynch, Pierce, Fenner & Smith Incorporated, and between March 2015 and January 2018, Valenzuela was registered with Morgan Stanley. [read post]
26 Jan 2016, 4:14 am
Three public customers sued FINRA member firm Morgan Stanley Smith Barney for $1.28 million in damages. [read post]
2 Dec 2021, 7:03 am by The White Law Group
     The post Morgan Stanley Broker Jesus Rodriguez Barred from Securities Industry  appeared first on The White Law Group. [read post]
15 Oct 2021, 12:10 pm
 Case in PointOn July 30, 2021, Morgan Stanley Smith Barney LLC filed an action in the United States District Court for the District of Oregon ("DOR") against former employee Robert Sevcik asserting breaches of contract and of the duty of loyalty. [read post]
22 Mar 2012, 8:25 am by D. Daxton White
According to the reports, Rivera is a former financial advisor of Morgan Stanley Smith Barney who worked at the firm’s Paramus office from October 2008 to October 2010, providing private wealth management services to clients and managing their investment accounts. [read post]
10 Oct 2007, 2:27 pm
Shepherd Smith and Edwards represents investors nationwide in claims against securities firms. [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… [read post]
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]
2 Jul 2018, 7:22 am
Morgan Stanley Smith Barney LLC, Defendant/Appellee (Opinion, July 2, 2018)http://www.brokeandbroker.com/PDF/Ploetz8Cir.pdfPloetz filed a FINRA Arbitration claim against Morgan Stanley Smith Barney LLC, alleging that Morgan Stanley had transferred funds from the account without authorization. [read post]
14 Jul 2022, 8:28 am by Silver Law Group
In the petition, the SEC describes a “multi-year Ponzi scheme perpetrated by Good involving his clients at Morgan Stanley Smith Barney, LLC. [read post]
8 Dec 2016, 6:44 am
This one involves ten promissory notes worth a few million dollars issued to two former Morgan Stanley Smith Barney employees. [read post]
19 Nov 2015, 6:34 am
From the Desk of Jim Eccleston at Eccleston Law LLC:Travis Shannon, a former financial advisor with Morgan Stanley Smith Barney from September 2008 to July 2013, was fired by Morgan Stanley for undisclosed outside business activities. [read post]
10 Feb 2022, 11:25 am by Shepherd Smith Edwards & Kantas, LLP
Fired California Financial Advisor Allegedly Bilked Pro Athletes of Millions  Darryl Matthew Cohen, a former top-producing Morgan Stanley Smith Barney registered representative of Southern California, faces a FINRA bar beginning February 16, 2022. [read post]
10 Jan 2019, 8:47 am by ccollins
Now, a FINRA arbitration panel is ordering Morgan Stanley Smith Barney LLC to pay retired NFL player Asante Samuel and Mega Millions lottery winner James Grove $879K and $3.3M, respectively, in separate claims but once again involving Parthemer. [read post]
1 May 2023, 3:49 am
LLC,MORGAN STANLEY SMITH BARNEY LLC, AND MORGAN STANLEY, Defendants. [read post]
6 Aug 2013, 8:29 am by D. Daxton White
According to reports, Morgan Stanley Smith Barney recommended that its financial advisors pull client money out of Paulson’s Advantage and Advantage Plus funds in December 2012, potentially because the firm became concerned with the level of risk to which their clients were being exposed. [read post]
27 Feb 2009, 12:06 pm
According to Shepherd Smith Edwards and Kantas, LLP Founder and Stockbroker Fraud Attorney William Shephard, however, the following Morgan Stanley case is "one of many cases filed in court which would have likely not been dismissed in securities arbitration. [read post]