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Author: The White Law Group

Current Investigations, Securities Fraud Articles

Former Advisor Paul V. Blum Barred from Securities Industry

FINRA Bars Paul V. Blum for Failure to Appear for Testimony According to the Financial Industry Regulatory Authority, former financial...

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Blog, Current Investigations

Lloyds TSB Bank Steepener Note due 2/22/2033 Investment Losses

Investigating Potential Claims Involving Lloyds  TSB Bank Steepener Note due 2/22/2033 Did you suffer losses investing in Lloyds TSB Bank...

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Current Investigations, Securities Fraud Articles

FBI Investigates Ex-Morgan Stanley Broker James Polese

James Polese Reportedly Discharged for Allegedly Misappropriating Client Assets According to reports, the Federal Bureau of Investigation...

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Blog, Current Investigations, Securities Fraud Articles

KBS Growth & Income REIT Declares NAV $8.75/Share

Recovery of Investment losses in KBS Growth & Income REIT Did you lose money investing in KBS Growth & Income REIT at the...

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Blog, Current Investigations, Securities Fraud Articles

VII Peaks Capital | Investigation

VII Peaks Capital Private Placement Offerings Are you concerned about your investment in VII Peaks Capital? If so, The White Law Group may...

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Current Investigations, Securities Fraud Articles

Cetera Advisor Networks LLC to Pay $1.9 Million in Restitution

FINRA Sanctions Cetera Advisor Networks LLC According to FINRA, on May 3, 2017, Cetera Advisor Networks LLC (CRD #13572, El Segundo,...

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