Author: The White Law Group

FINRA SEC Sanctions, Securities Fraud Articles

Sean Michael Kane Allegedly Deceived Clients

SEC Bars Sean Michael Kane after Allegations of Misconduct The SEC has reportedly barred Sean Michael Kane, a financial advisor from...

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FINRA SEC Sanctions

Invesco to Pay $17.5 M for Misleading Clients

SEC Charges Invesco with Misleading Claims Regarding ESG The U.S. Securities and Exchange Commission (SEC) recently charged Invesco...

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Securities Fraud Articles

SEC Chair Gary Gensler may Resign Following Trump Win

Regulatory Shift after 2024 Election  Following Donald Trump’s victory in the presidential election, many in the finance and advisory...

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Blog

Cetera CEO to Step Down this year

Adam Antoniades, Cetera CEO, to Step Down this year According to Investment News, Adam Antoniades, CEO of Cetera Financial Group, will...

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Blog, Broker-Dealer Overview

Atria Wealth Solutions Regulatory Overview

LPL Financial Completes Acquisition of Atria Wealth October 1st, 2024: LPL Financial (NASDAQ: LPLA) has completed its acquisition of Atria...

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FINRA SEC Sanctions

Sherwin Sargeant barred by Securities Regulators

FINRA Bars Broker Sherwin Sergeant after Allegations of Misconduct According to public records on November 5th, 2024, The Financial...

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