The White Law Group in the News
National securities fraud law firm, The White Law Group, is led by managing partner D. Daxton White. Frequently quoted in major news and media publications, Mr. White is as an authority on FINRA arbitration –having now handled over 700 FINRA arbitration claims– and a frequent lecturer on the process. Mr. White is an AV rated attorney by Martindale Hubbell, indicating the highest rating for legal ability and ethics.
Often battling the largest brokerage firms on Wall Street, Mr. White has a passion for investor advocacy, for raising awareness of financial advisor responsibilities and duties and for helping victims of unscrupulous advisors.
The White Law Group represents investors in all types of securities-related claims, including broker misrepresentation, churning, unsuitable investments, selling away, Ponzi schemes and unauthorized trading, among many others. The firm also represents financial advisors and brokers involved in securities employment disputes.
With over 30 years of securities law experience, the firm’s attorneys have recovered over $50,000,000 on behalf of investors since 2010.
To learn more about the firm and its representation of investors, please visit our Attorneys page.
Publications
Investment News: Giant Conflicts Alleged, Triad Broker Jim Walesa
Investment News: FINRA Smacks Philly Broker with Wells Notice
Scottsdale Progress: Financial advisor in hot water over investments
Kyckr: The Future of Financial Crime, Insights From Dax White
Kern Valley Sun: barred Lake Isabella financial advisor
WEAU: Former Altoona Investment Advisor Barred from Securities Industry
BloombergTax: Tax-Writeoff Promoter Stifled by DOJ Lawsuit
Scottsdale Progress: Local financial advisor under fire in lawsuit
BottomLine Inc.: Beware Brokers Who Run Up Charges
Investment News: Client wins $433,000 through FINRA arbitration claim…
Investment News: New FINRA head Robert Cook…
Investment News: Couple files FINRA Claim
Investment News: Wells Fargo faces major test…
Press Releases
The following is a list of company press releases.
FINRA Claim Against Emerson Equity LLC
Western International Securities: Investor Dispute
Triad Advisors: Investor Dispute
National Securities Corp and B. Riley Wealth Investor Dispute
Newbridge Securities Corp.: Investor Dispute
Centaurus Financial: FINRA Complaint Alleges Unsuitability
FINRA Claim Filed against Advisory Group Equity Services
The White Law Group Files Claim against Center Street Securities
Madison Avenue Securities and Ausdal Financial Partners Lawsuit
UBS Financial Services: FINRA Claim
Somerset Securities Inc.: FINRA Claim
Claim Filed against Concorde Investment Services
FINRA Lawsuit against Merrill Lynch Alleges Unsuitable Investments
The White Law Group Announces another Lawsuit Involving GWG L Bonds
The White Law Group Files a Lawsuit against Arete Wealth
The White Law Group files another Lawsuit against Centaurus Financial
The White Law Group Files Lawsuit against Essex and Infinex
The White Law Group files a Lawsuit against Centaurus Financial
Concorde Investment Services Lawsuit
McDermott Investment Services Lawsuit
Lion Street Financial and Triad Advisors Lawsuit Filed Today
Ausdal Financial Partners Inc. Lawsuit Filed involving GWG
Arete Wealth Management Lawsuit Filed involving GWG L Bonds
The White Law Group Opens New Office in Seattle, Washington
The White Law Group Files Second Lawsuit, Laidlaw & Co.
Wells Fargo Clearing Services Lawsuit
B. Riley Wealth Management Lawsuit
Centaurus Lawsuit alleges High-Risk Alternative Investments
Lawsuit filed against G.A. Repple & Co. involving GWG L Bonds
Center Street Lawsuit Involves GWG L Bonds
FINRA Lawsuit filed against Emerson Equity LLC
FINRA Lawsuit Filed Against Cetera Advisors
FINRA Lawsuit filed against Stifel, Nicolaus & Company, Inc.
JP Turner & Centaurus Lawsuits
Western International Securities Lawsuit Alleges Unsuitable Investments
Second lawsuit against Centaurus Financial & J.P. Turner
Lawsuit filed against Regal Securities & First Allied Securities
Lawsuit filed against J.P.Turner & Co. & Centaurus Financial
Independent Financial Group Lawsuit
FINRA Claim Filed against NYLIFE
LPL Financial Lawsuit Alleges Unsuitable Alternative Investments
LPL Financial LLC | Lawsuit Filed Today
LPL Financial Lawsuit Alleges Investment Losses
FINRA Group Claim filed against Capital Financial Services
The White Law Group Files Second Lawsuit, Laidlaw & Co.
Lawsuit filed against Centaurus Financial
Lawsuit filed involving radio personality Ray Lucia
FINRA Claim Filed Against Credit Suisse and UBS
Gold/Silver/Platinum Futures Losses
FINRA Claim Filed against Western International involving Dawn J. Bennett
FINRA Claim Filed Against Proequities, Inc. over Investment Losses
FINRA Claim Filed Against Cetera Advisors, LLC over Investment Losses
FINRA arbitration filed against Questar Capital and Centaurus
FINRA Arbitration Claim Filed Against Oppenheimer & Co., Inc.
Recovery of Private Placement and DBSI Losses
FINRA Arbitration Claim filed Against NEXT Financial T
Press Releases on other Websites
American Investment Trust Services: FINRA Claim
Common Litigation Challenges for Financial Advisors
Financial Advisor Under Fire in Lawsuit
Former Altoona Investment Advisor Barred from Securities Industry
Lawsuit Filed Against Invest International Equities Corporation for Investment Losses
The White Law Group Files FINRA Claim Against Cetera Advisors, LLC Over Investment Losses
The White Law Group Files Another FINRA Lawsuit Involving GWG L Bonds
Last modified: August 30, 2024