logo_web_wht
(888) 637-5510

Tag: FINRA investigation

Blog, Securities Fraud Articles

FINRA Investigates Long Island firm David Lerner & Associates

According to the New York Post, in May 2010, FINRA accused Long Island brokerage firm David Lerner Associates and its head trader, William...

Read More

Blog, Securities Fraud Articles

FINRA Fines Firms For Overstating Trade Volume

In 2008, FINRA announced that it has fined 19 broker-dealers a total of $2.8 million for substantially overstating their advertised trade...

Read More

Blog, Securities Fraud Articles

FINRA Fines Goldman Sachs

FINRA recently announced that it has fined Goldman, Sachs & Co. $650,000 for failing to disclose that two of its registered...

Read More

Blog, Securities Fraud Articles

Information Regarding Waddell & Reed’s Sales Practices

Waddell & Reed’s sales practices have been the subject of regulatory inquiry on several occasions. Back in 2005, FINRA resolved its...

Read More

Blog, Securities Fraud Articles

FINRA Fines Deutsche Bank Securities For Misrepresentation

FINRA recently announced that it has fined Deutsche Bank Securities, Inc. $7.5m for “negligently misrepresenting” delinquency...

Read More