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Month: April 2013

Blog, Securities Fraud Articles

SEC Enforcement Actions coming out of the 2008 financial crisis.

Securities and Exchange Commission (SEC) recently released a report highlighting key statistics relating to enforcement actions they have...

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Blog, Securities Fraud Articles

Unified Fiduciary Standard Coming?

The White Law Group continues to follow the SEC discussions regarding the development of a unified fiduciary standard in accordance with...

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Blog, Securities Fraud Articles

Investigation into Thomas Redmond Jr.

The White Law Group is investigating potential claims against Indiana financial advisor, Thomas Redmond Jr., on behalf of investors that...

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Blog, Securities Fraud Articles

Investigation regarding IMH Secured Loan Fund

Have you suffered losses as a result of your investment in IMH Financial Corporation, formally known as IMH Secured Loan Fund? If so, the...

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Blog, Securities Fraud Articles

Accenture Survey: Clients, Financial Advisors Not on the Same Page

According to a new Accenture survey of 400 financial advisors and 1,000 investors in the United States, advisors are three times more...

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