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Current Investigations

Blog, Current Investigations

Ex-Merrill Lynch Broker Marcus Boggs Pleads Guilty to Fraud

Marcus Boggs, formerly of  Merrill Lynch, reportedly Pleads Guilty to Stealing $3 Million from clients Former financial advisor Marcus...

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Blog, Current Investigations, Securities Fraud Articles

Lawsuit Filed Against Cetera over High-Risk Investments

FINRA Lawsuit Alleges Financial Advisor George Merhoff, Jr. made Unsuitable Investment Recommendations The White Law Group has submitted a...

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Blog, Current Investigations

Chad Mackland, MML Broker Barred from Securities Industry

FINRA Reportedly Bars Chad Mackland After Allegations of Fraudulent Sales Practices According to the Financial Industry Regulatory...

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Blog, Current Investigations

Dalmore Group LLC Sanctioned for Rules Violations

FINRA Censures and Fines Dalmore Group LLC for Private Placements Rules Violations The White Law Group is investigating potential...

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Blog, Current Investigations

Edmund Zack, Former Aegis Broker, Suspended and Fined

FINRA Reportedly Suspends Edmund Zack After Allegations of Excessive, Unauthorized and Unsuitable Trading According to the Financial...

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Blog, Current Investigations

Eagle Hospitality REIT Files Chapter 11 Bankruptcy

Eagle Hospitality REIT Securities Investigation The White Law Group is investigating the liability that brokerage firms may have for...

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