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August 6, 2013

FINRA Fines Oppenheimer

On August 5, 2012 the Financial Industry Regulatory Authority (FINRA) announced that

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April 15, 2013

Securities Fraud Investigation Involving 3 Former Securities America Financial Advisors.

The White Law Group is currently investigating 3 Ohio brokers who either work or

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April 5, 2013

Investigation into Thomas Redmond Jr., and Potential Recovery of Investment...

The White Law Group is investigating potential claims against Indiana financial

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