January 15, 2022 Comments Off on Casper Grove Partners LLC – Investigating Potential Securities Claims   Blog, Current Investigations

Casper Grove Partners LLC – Investigating Potential Securities Claims  

Casper Grove Partners LLC – Investigating Potential Securities Claims, featured by top securites attorneys, the White Law Group

Securities Investigation – Casper Grove Partners LLC 

The White Law Group is investigating potential securities claims involving broker dealers and financial advisors who may have unsuitably recommended Casper Grove Partners LLC to investors.    

Private Placement investments such as Casper Grove Partners are generally speculative, high-risk investments and due to these risks are often unsuitable for most investors. Despite the risks of investing in alternative investments, brokerage firms continue to push this type of investment because of the high commissions associated with their sale and creation.  

Casper Grove Partners, LLC is purportedly a real estate fund based in Birmingham, AL. The company reportedly filed a form D to raise capital from investors in 2019, according to filings with the SEC. The total offering amount sold was purportedly $7,113,000, sales fees and commissions estimated at more than 10% of the offering amount. 

Since they are not traded on any exchange, private placement offerings are typically illiquid investments. There are often legal or contractual restrictions on your ability to transfer your holdings, and even if sale of your holdings is permitted there may be no buyers. You may need to hold these securities for an indefinite period of time.   

Often companies that issue unlisted securities may provide little or no transparency into their ongoing operations and financial condition.   

While some private placement investments may make periodic distributions, others may not make any.  Brokerage firms have a responsibility to adequately disclose all risks before selling any investment and must consider suitability factors such as age, financial needs, and risk tolerance to name a few. Firms that do not perform adequate due diligence on an investment or demonstrate a breach of fiduciary duty can be held accountable for losses incurred through FINRA arbitration.   

Filing a Complaint against your Brokerage firm   

If you are concerned about an investment in Casper Grove Partners LLC, the securities attorneys at The White Law Group may be able to help you by filing a complaint against your brokerage firm. Please call the offices at 888-637-5510 for a free consultation with a securities attorney.   

For more information on Reg D private placement investments please see:  

Regulation D Private Placement Fraud Attorneys   

 The White Law Group, LLC is a national securities fraud, securities arbitration, investor protection, and securities regulation/compliance law firm with offices in Chicago, Illinois and Seattle, Washington.   

For more information on the firm, please visit https://www.whitesecuritieslaw.com.   

 

 

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