Search for: "Prudential Investment Management Services LLC" Results 1 - 20 of 39
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18 Jan 2010, 5:24 pm
Pruco Securities, LLC (CRD #5685, Newark, New Jersey) and Prudential Investment Management Services LLC (CRD #18353, Newark, New Jersey) submitted a Letter of Acceptance, Waiver and Consent in which they were censured, fined $525,000, jointly and severally, and required to conduct an audit and prepare written findings regarding their compliance with NASDrules relating to the filing, approval and recordkeeping requirements for advertisements and… [read post]
10 Jan 2020, 1:41 am
In the Matter of Prudential Investment Management Services LLC, Respondent (FINRA AWC)FINRA Fines Citigroup Global Markets Inc. [read post]
30 Oct 2020, 3:21 am by Alan Rosca
Even though Dykstra is no longer registered as a broker, according to his Investment Adviser Public Disclosure Report he is still a registered investment advisers with two Maitland, Florida, companies: Aegis Wealth Management, LLC (since March 2016) and Alternative Investment Advisors, LLC (since April 2012). [read post]
30 Oct 2020, 3:21 am by Alan Rosca
Even though Dykstra is no longer registered as a broker, according to his Investment Adviser Public Disclosure Report he is still a registered investment advisers with two Maitland, Florida, companies: Aegis Wealth Management, LLC (since March 2016) and Alternative Investment Advisors, LLC (since April 2012). [read post]
31 Jan 2019, 9:54 am by Silver Law Group
Peter Michael Malis (CRD #317892) is a registered broker and investment advisor currently employed with Wells Fargo Clearing Services, LLC (CRD #19616) of Woodland Hills, CA. [read post]
26 Aug 2016, 1:43 pm
Analysis:  Section 36(b) of the Investment Company Act of 1940 provides that an investment advisor of a registered investment company has a fiduciary duty with respect to “receipt of compensation for services. [read post]
6 Sep 2018, 6:11 am by Staff Attorney
From July 1998 to July 1999, Schneider was registered with Prudential Investment Management Services LLC. [read post]
3 Jan 2019, 5:57 am by Silver Law Group
According to FINRA Disciplinary actions for December 2018, the following individuals were suspended from FINRA and cannot currently work for a FINRA brokerage firm for failing to provide FINRA with information it requested or to keep information current with FINRA pursuant to FINRA rules: NAME FORMER EMPLOYERS   Barrick, Tabor   FBL Marketing Services, LLC   Allstate Financial Services, LLC   Conklin, Jeffrey   The Huntington… [read post]
19 May 2016, 1:23 pm by Alex Loomis
And no majority opinion has explicitly held that Zivotofsky I eliminated the prudential factors, though a few concurrences seem to point in that direction (see, e.g., Judge Krause’s concurrence in In re One2One Communications, LLC). [read post]
6 Aug 2019, 8:49 am by Silver Law Group
  Independent Financial Group, LLC   Kane, Jordan   Citizens Securities, Inc   Martinez, Joseph   Pruco Securities, LLC   The Prudential Insurance Company of America   Sercia, Anthony   Traderfield Securities Inc   Legend Securities, Inc   Weldon, Benjamin   State Farm VP Management Corp FINRA makes this information available, in part, to inform investors about potential red flags or problems with certain… [read post]
12 Apr 2019, 8:25 am by Silver Law Group
Insurance Agency   Peter Gomez   NYLife Securities LLC   New York Life Insurance Co   Harris, Dionna   Vanguard Marketing Corporation   Henry, Omar   Cetera Advisors LLC   JP Morgan Securities LLC   King, Erin   Wells Fargo Clearing Services, LLC   Wells Fargo Bank   Lin, Linda   Lossing, Christopher   LPL Financial LLC   Edward Jones   McNeill, Randolph  … [read post]
1 Jul 2019, 12:46 pm by Silver Law Group
  Merrill Lynch, Pierce, Fenner & Smith Inc   Heilman, Peter   Edward Jones   High, Robert   First Financial Equity Corp   Chase Investment Services Corp   Irizarry, Melissa   LPL Financial LLC   Invest Financial Corp   LaBare, Richard   Union Capital Company   Morgan Stanley & Co Inc   Mariampolski, Arnold   AXA Advisors   Ohel, Ziv   CFD Investments, Inc  … [read post]
30 Jan 2019, 1:03 pm by Silver Law Group
According to FINRA Disciplinary actions for January 2019, the following individuals were suspended from FINRA and cannot currently work for a FINRA brokerage firm for failing to provide FINRA with information it requested or to keep information current with FINRA pursuant to FINRA rules: NAME FORMER EMPLOYERS   Alfaro, Jennifer   JP Morgan Securities LLC   JP Morgan Chase Bank   Austin, Aaron   LPL Financial LLC   M&T Securities, Inc   Austin,… [read post]
26 Nov 2019, 7:23 am by Silver Law Group
According to FINRA Disciplinary actions for November 2019, the following individuals were barred from FINRA and cannot currently work for a FINRA brokerage firm for failing to provide FINRA with information it requested or to keep information current with FINRA pursuant to FINRA rules: NAME FORMER EMPLOYERS   Acree, Sandra   Fidelity Services LLC   Ader, Debra   Baker, Andrew   Suntrust Investment Services, Inc   Wells Fargo… [read post]
11 Jan 2007, 12:23 am
Group LLC NEW YORK COUNTYAlternative Dispute ResolutionCourt Confirms Arbitration Award Requiring Prudential to Share in Investment Losses Matter of Sahni v. [read post]
25 Apr 2019, 11:59 am by Silver Law Group
Equity Sales Company   UBS Painewebber Inc   Sercia, Anthony   Traderfield Securities Inc   Legend Securities   Soto, Rani   Prudential Investment Management   AllianceBernstein Investments   Stanley, Cornell Jr. [read post]
22 Nov 2010, 9:01 am by Phillips & Cohen
”The investigation has touched a number of companies, the Journal said, including: Primary Global Research LLC, Goldman Sachs Group Inc., Broadband Research LLC, First New York Securities LLC, Ziff Brothers, Jana Partners LLC, TPG-Axon Capital Management, Prudential Financial Inc.'s Jennison Associates asset-management unit, UBS AG's UBS Financial Services Inc. unit, and Deutsche Bank AG.Insider-trading charges… [read post]
20 Sep 2017, 6:25 am by Adam Gana
Before being barred, she was employed at Prudential Investment Management Services LLC from March 2000 to November 2016. [read post]
4 Jan 2017, 3:55 pm by nedaj
A manager must file a Form 13F if it exercises investment discretion with respe [read post]
10 Sep 2010, 1:00 pm by Lucas A. Ferrara, Esq.
Newcastle Realty Services Nixon Peabody Northfield Advisors LLC NorthMarq Capital Olshan Grundman Omni New York LLC Online Marketing Group Peak Capital Partners Peyton Properties Philton Contracting, LLC Prana Investments Property Holdings, Inc Prudential Douglas Elliman Pryor Cashman LLP R. [read post]