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6 Jul 2012, 1:14 pm by Mark Stanley
7/6/2012 Author:  Mark Stanley Security & Surveillance More Issues in Security & Surveillance An ineffective tech mandate that would threaten Internet users' privacy has quietly died in Congress. [read post]
2 Jan 2008, 12:35 pm
Please contact Shepherd Smith and Edwards today if you have lost money because a member of the securities industry engaged in deceptive practices. [read post]
28 Sep 2023, 11:24 am by Shepherd Smith Edwards & Kantas, LLP
Shepherd Smith Edwards and Kantas Can Help You Determine Whether You Have Grounds For Pursuing Damages If you are an investor who lost money while working with former Morgan Stanley financial advisor Ron Ernest Filoramo, please contact our trusted broker-dealer misconduct lawyers today. [read post]
12 Mar 2012, 5:54 am
Whether an employee of Merrill Lynch, Smith Barney, Bear Stearns, Lehman Brothers, Wachovia, UBS, Morgan Stanley, JP Morgan or any number of former or current brokerage firms, the inevitable rounds of lay-offs and firm failures play havoc with the registrations of the industry? [read post]
19 Dec 2018, 12:05 pm
It's a demand by public customers for $7.8 million in damages from Morgan Stanley Smith Barney and Wells Fargo Advisors. [read post]
26 Sep 2022, 8:00 am by Savage Villoch Law, PLLC
On September 20, 2022, the SEC fined financial services giant Morgan Stanley Smith Barney (“MSSB”) $35 million for failing to adequately protect its customer’s records and personal identifying information (“PII”). [1] The fine was entered via a settlement between the SEC and MSSB, through which MSSB has agreed to pay a civil penalty for the SEC’s charges without admitting to nor denying the violations. [2] MSSB is a subsidiary of Morgan… [read post]
26 Oct 2011, 11:44 pm
Shepherd Smith Edwards and Kantas founder and securities fraud attorney William Shepherd said, “Our law firm has been successful in maintaining similar cases in arbitration or state courts. [read post]
21 Aug 2017, 5:00 am by Sean Cuff
File no. 3-17808 (Jan. 24, 2017), and In the Matter of Morgan Stanley Smith Barney LLC, SEC, Admin. [read post]
25 Mar 2016, 7:00 am by Mark Astarita
A former risk officer at Morgan Stanley Smith Barney LLC has filed suit claiming he was fired for reporting a variety of infractions by the firm's registered representatives, including the churning of preferred securities by a star broker the firm recruited last year from rival Bank of America Merrill Lynch.Chief among the claims was that late last year, he discovered that one of the firm's newest wealth managers “was flipping preferred securities in a manner that… [read post]
19 Jul 2016, 5:00 am by Patricia Klusmeyer
Increased focus on cybersecurity by the Security Exchange Commission’s (“SEC”) continues as it recently issued charges against Morgan Stanley Smith Barney (“Morgan Stanley”) for failing to adopt written policies and procedures reasonably designed to protect confidential client information. [read post]
19 Jul 2016, 5:00 am by Patricia Klusmeyer
Increased focus on cybersecurity by the Security Exchange Commission’s (“SEC”) continues as it recently issued charges against Morgan Stanley Smith Barney (“Morgan Stanley”) for failing to adopt written policies and procedures reasonably designed to protect confidential client information. [read post]
9 Jan 2012, 7:41 pm by lawshucks
Eric Grossman, who joined from Davis Polk in 2006, was General Counsel of the Americas, Global Head of Litigation and General Counsel of Morgan Stanley Smith Barney. [read post]
13 Jun 2023, 3:34 am by jonathanturley
There is a reason Smith would love to see an August trial. [read post]
3 Sep 2020, 8:21 am by Silver Law Group
  Cindy Fuzie   Morgan Stanley   MML Investors Services, LLC   Michael Garris   Wells Fargo Clearing Services, LLC   Morgan Stanley Smith Barney   Rajesh Gupta   Morgan Stanley Smith Barney   JP Morgan Securities LLC   James McEnerney, Jr. [read post]
24 Aug 2015, 7:16 am by Adam Weinstein
(King) concerning allegations that from July 2009, through November 2012, while King was registered Morgan Stanley Smith Barney LLC (Morgan Stanley) and later Wells Fargo Advisors, LLC (Wells Fargo), circumvented Wells Fargo’s policies and procedures by assisting another broker in concealing nearly $400,000 in loans to three firm customers, loaned $25,000 to a customer without permission, participated in an undisclosed private securities transaction, otherwise… [read post]
30 Sep 2019, 5:42 am by Staff Attorney
In May 2019 Moy’s former employer Morgan Stanley Smith Barney, LLC (Morgan Stanley) discharged Moy alleging that he submitted inaccurate information for business expenses, his submission of inaccurate and incomplete information about outside restaurant-related business activities, and his use of firm resources for those outside activities. [read post]
17 Nov 2011, 5:26 pm
SEC Charges Morgan Stanley Investment Management for Improper Fee Arrangement, SEC, November 16, 2011 SEC charges Morgan Stanley Investment Management with violations, Miami Herald, November 16, 2011 More Blog Posts: Retirement Fund’s CDO Lawsuit Against Morgan Stanley is Dismissed by District Court, Institutional Investor Securities Fraud, October 27, 2011 Morgan Stanley Faces $1M FINRA Fine for Excessive Markups and Markdowns on Corporate and Municipal… [read post]