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Author: The White Law Group

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Scuderi-Holyoke Securities Investigation

Did your broker recommend an investment in Scuderi-Holyoke? The White Law Group is investigating potential securities claims involving...

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Blog, Current Investigations

Broker George McCaffrey III, Barred for Selling Away

FINRA Reportedly Bars George McCaffrey III after Allegations of Private Securities Sales Are you concerned about investments with financial...

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Blog, Current Investigations

Ex-Summit Broker Victor Rigoni III Suspended from the Securities Industry

FINRA Reportedly Suspends Victor Rigoni III for Allegations of Undisclosed Tax Liens According to the Financial Industry Regulatory, on May...

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Blog, Current Investigations

Broker John Swon IV, of Royal Alliance, Barred from Securities Industry 

FINRA Bars Royal Alliance Broker John Swon IV after allegations of Misappropriated Funds According to public records on FINRA’s website,...

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Blog, Current Investigations

Sanctuary Securities to pay $500,000 for Supervisory Failures

FINRA Sanctions Sanctuary Securities Inc. for Reps Unsuitable ETF Sales The White Law Group is investigating potential securities claims...

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Blog, Current Investigations

Ex-Morgan Stanley Broker Michael Paesano has 24 Customer Complaints

Customer Lawsuits Allege Broker Michael Paesano Excessively Traded Accounts According to his FINRA broker record, former Morgan Stanley...

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