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Written by 2:04 pm Blog, Current Investigations

Investigating Claims involving West Hill Strategic Bond Fund LP    

Investigating Claims involving West Hill Strategic Bond Fund LP, featured by top securities fraud attoneys, The White Law Group

Securities Investigation: West Hill Strategic Bond Fund LP   

The White Law Group is investigating potential claims involving broker dealers who may have improperly recommended West Hill Strategic Bond Fund LP to investors.    

West Hill Strategic Bond Fund LP, a pooled investment hedge fund, filed a Form D to raise capital from investors in 2015. The total offering amount sold was purportedly $925,000.  

The White Law Group is investigating potential claims involving brokerage firms who may have improperly recommended high-risk private placements to investors. Investments such as these are typically sold by brokerage firms in exchange for a large up-front commission. High fees can range from 7-10%, as well as additional “due diligence fees” that can range from 1-3%.  The problem with private placement investments is that they typically involve a high degree of risk. They are also often sold as unregistered securities which lack the same regulatory oversight as more traditional investment products like stocks or bonds. 

Broker dealers are required to perform adequate due diligence on any investment they recommend. They must ensure that all recommendations are suitable for the investor. Firms that fail to do so, may be held responsible for any losses in a FINRA arbitration claim.   

To learn more, please see: Regulation D Private Placement Fraud Attorneys   

Recovery of Investment Losses through FINRA Arbitration   

If you have concerns regarding your investment in West Hill Strategic Bond Fund LP and would like to speak with a securities attorney about your options, please call The White Law Group at 888-637-5510 for a free consultation.    

The White Law Group, LLC is a national securities fraud, securities arbitration, investor protection, and securities regulation/compliance law firm with offices in Chicago, Illinois and Seattle, Washington.  For more information on The White Law Group and its representation of investors in FINRA arbitration claims, visit https://www.whitesecuritieslaw.com.   

 To learn more about our claims involving high-risk private placement investments, please see:   

Concord Investment Services Lawsuit filed involving High-Risk Alternative Investments   

   

    

    

 

Tags: , , , , , , , , , Last modified: June 14, 2022