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Author: The White Law Group

Blog, Current Investigations, Securities Fraud Articles

Ohio Financial Advisor Stephen Hurtuk Barred from Securities Industry

Stifel, Nicolaus & Co. – Stephen Hurtuk  – Boardman, Ohio According to the Financial Industry Regulatory Authority...

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Blog

Merrill Lynch Reverses Policy on Commission Based Accounts

Death of DOL’s Fiduciary Rule in March Leads to Merrill Lynch Policy Change According to reports this week, Merrill Lynch said on...

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Blog

FINRA v. JAMS – What’s the Difference?

Two Arbitration Processes – JAMS & FINRA There are two possible arbitration processes used to litigate disputes, FINRA or JAMS, ...

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Blog, Current Investigations

NorthStar/RXR New York Metro Real Estate Inc.

NorthStar/RXR New York Metro Real Estate – Liquidation Plans Are you concerned about your investment in NorthStar/RXR New York Metro...

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Blog, Current Investigations, Securities Fraud Articles

New Jersey Broker Gary Basralian Pleads Guilty to Fraud

Update on Broker Gary Basralian – Securities Fraud Investigation According to reports yesterday, broker Gary Basralian, of...

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Blog, Securities Fraud Articles

Can FINRA Protect Investors from Financial Advisor Misconduct ?

Financial Advisor Misconduct – new study says 1 in 10 advisors has severe misconduct records. According Financial IQ a recent study,...

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