August, 2019
Archive

Sagepoint Financial & GPB Holdings II Losses Concerned about your investment in GPB Holdings II LP with Sagepoint Financial? If you are concerned about investment losses in GPB Holdings II LP with Sagepoint Financial, the securities attorneys at The White Law Group may be able to help you recover your losses by filing a FINRA Dispute Resolution claim against the brokerage firm that sold you the investment. Sagepoint Financial is listed as a sales compensation recipient for the GPB Holdings II offering, according to a Reg D filed in 2018 with the SEC. The White Law Group continues its investigation regarding potential securities fraud claims involving GPB Capital Holdings. Bad news continues to pile up for investors of GPB Capital Holdings private placement investments. The company has yet to file financials with the Securities & Exchange Commission. Last year, when it missed a deadline with the regulator for two of its largest funds, GPB Automotive Portfolio and GPB Holdings II LP, the company reportedly said that it was focusing on cleaning up its accounting and financials. Securities regulators began investigating GPB in December 2018 and then the FBI reportedly showed up at the GPB offices in March with a warrant to collect documents. Investors are left wondering what is going on with their investments, and some are reportedly taking action. According to recent reports, the first class action lawsuit was just filed in federal court in New York on behalf of certain GPB Capital investors. The lawsuit alleges accounting irregularities and other improprieties in GPB’s operations. GPB investors are reportedly requesting accurate financial statements for their GPB investments. Recovery of Investment Losses If you suffered losses investing in GPB Holdings II with Sagepoint Financial and would like to discuss your litigation options, please call the securities attorneys of The White Law Group at (888) 637-5510 for a free consultation. These claims are distinct from the class action filed directly against GPB Capital and could be pursued concurrently. The Financial Industry Regulatory Authority (FINRA) operates the largest securities dispute resolution forum in the United States, and has extensive experience in providing a fair, efficient and effective venue to handle a securities-related dispute. The White Law Group is a national securities fraud, securities arbitration, and investor protection law firm with offices in Chicago, Illinois and Franklin, Tennessee. The firm represents investors in FINRA arbitration claims throughout the country. To learn more about the firm’s representation of investors, please visit www.whitesecuritieslaw.com. GPB Holdings II losses, GPB Holdings II LP, Sagepoint Financial lawsuit, GPB Holdings II investigation, Sagepoint Financial complaints, GPB Capital Holdings lawsuit, Sagepoint Financial GPB Holdings II, featured by Top Securities Fraud Attorneys, The White Law Group August 28, 2019

Sagepoint Financial & GPB Holdings II Losses

Concerned about your investment in GPB Holdings II LP with Sagepoint Financial? If

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Purshe Kaplan Sterling Investments & GPB Holdings II Lawsuits August 28, 2019

Purshe Kaplan Sterling Investments & GPB Holdings II Lawsuits

Have you suffered losses investing in GPB Holdings II LP with Purshe Kaplan Sterling

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MSC - BD LLC & GPB Holdings II Losses, featured by Top Securities Fraud Attorneys, The White Law Group August 28, 2019

MSC – BD LLC & GPB Holdings II Losses

Concerned about your investment in GPB Holdings II LP with MSC – BD LLC? If

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Kalos Capital and GPB Holdings, Investment losses, featured by Top Securities Fraud Attorneys, The White Law Group August 28, 2019

Kalos Capital & GPB Holdings II Lawsuits

Have you suffered losses investing in GPB Holdings II LP with Kalos Capital? If you

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Collateral Yield Enhancement Strategy (CYES) Securities Investigation, featured by Top Securities Fraud Attorneys, The White Law Group August 27, 2019

Collateral Yield Enhancement Strategy (CYES) Securities Investigation

Collateral Yield Enhancement Strategy (CYES) Lawsuits Have you suffered losses

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Larry Labine & Newbridge Securities Lawsuit, Featured by Top Securities Fraud Attorneys, The White Law Group August 27, 2019

FINRA Lawsuit filed against Newbridge Securities Corp. 

Newbridge Lawsuit Alleges Financial Advisor Larry Labine made Unsuitable Investment

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Royal Alliance, Prescott, Arizona, Broker Investigation, featured by Top Securities Fraud Attorneys, The White law Group August 26, 2019

Royal Alliance, Prescott, Arizona, Broker Investigation

FINRA Investigation, Royal Alliance Brokers reportedly charged with Selling Away

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Crown Capital Securities LP Censured & Fined, featured by Top Securities Fraud Attorneys, The White Law Group August 26, 2019

Crown Capital Securities LP Censured & Fined

FINRA Sanctions Crown Capital Securities LP, Orange, CA According to FINRA’s

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UBS Puerto Rico bonds losses, featured by Top Securities Fraud Attorneys, The White Law Group August 23, 2019

UBS Clients win $4.4 Million for Puerto Rico Bond Losses

Another FINRA Award involving UBS Puerto Rico Bonds According to  award posted this

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Kevin R. Graetz Broker Investigation, featured by Top Securities Fraud Attorneys, The White Law Group August 23, 2019

Kevin R. Graetz Broker Investigation, Updated August 25, 2020

Broker Kevin Graetz, Paulson Investment Company, New York, NY SEC Reportedly charges

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