The White Law Group Media Coverage & Press
The White Law Group is a nationally recognized securities fraud law firm representing investors in FINRA arbitration claims and complex investment loss cases across the United States. Led by managing partner D. Daxton White, the firm has handled more than 800 FINRA arbitration claims and has recovered over $50 million on behalf of investors since 2010.
Mr. White is frequently quoted in national and industry publications for his insight on broker misconduct, unsuitable investment recommendations, Ponzi schemes, and alternative investments such as private placement investments and DSTs. His commentary reflects decades of experience holding brokerage firms and financial advisors accountable.
The firm’s work has been featured in leading financial and legal publications, highlighting its role in high-profile securities disputes and investor advocacy.
Featured Media Coverage
The following are select media appearances and publications featuring The White Law Group and D. Daxton White:
- Investment News: FINRA Smacks Philly Broker with Wells NoticeRead original article on InvestmentNews
- Scottsdale Progress: Financial advisor in hot water over investmentsRead original article on Scottsdale Progress.
- Investment News: Client wins $433,000 through FINRA arbitration claim…
- WEAU: Former Altoona Investment Advisor Barred from Securities Industry
- BottomLine Inc.: Beware Brokers Who Run Up Charges
Have you suffered investment losses due to broker misconduct or unsuitable investments?
Contact The White Law Group for a free consultation to discuss your potential FINRA arbitration claim. With offices in Chicago and Seattle, we represent investors in all 50 states in claims against their brokerage firms.
Press Releases by Investment Type & Claim
Brokerage Firm & FINRA Arbitration Claims
The following matters involve investor claims filed through FINRA arbitration against brokerage firms and financial advisors, often referred to as investor lawsuits.
Understanding Investor Lawsuits and FINRA Arbitration
Most disputes between investors and brokerage firms are resolved through FINRA arbitration rather than traditional court litigation. These claims—often referred to as “investor lawsuits”—typically involve unsuitable investment recommendations, misrepresentation, failure to supervise, or other forms of broker misconduct.
2026 FINRA Arbitration Claims & Investor Lawsuits
- Realta Securities Lawsuit – FINRA Claim Filed Over Unsuitable DST Investments
- Aurora Securities FINRA Claim Involves IHC DSTLearn more about our claims to recover investment losses involving Inspired Healthcare Capital (IHC).
- Centaurus Financial Investor Lawsuit Alleges Unsuitable InvestmentLearn more about lawsuits, complaints and sanctions involving Centaurus Financial.
- Aurora Securities Investor Lawsuit Alleges Unsuitable DST Investments
- Capulent LLC Investor Lawsuit Alleges Unsuitable DST Investments
DST & Alternative Investment Claims
- Cabin Securities Investor Lawsuit involving Inspired Healthcare Capital DSTs
- 1031 Securities Inc. Investor Lawsuit Involving DSTs
- Realized Financial Lawsuit Involves Inspired Healthcare DST
- Emerson Equity LLC: Investor Lawsuit involves DSTs
- FINRA Claim: Concorde Investment and IHC DST
Learn more about regulatory sanctions and complaints involving Concorde Investment Services.
- PFS Investments Lawsuit Involves Next Level HoldingLearn more about PFS Investments including complaints and regulatory actions.
- Traderfield Securities & IBN Financial Investor Lawsuit
- Concorde Investment Services Lawsuit: Inspired Healthcare Capital Losses
GWG L Bonds & Private Placement Losses
- G.A. Repple & Co. lawsuit involving GWG L Bonds
- Arete Wealth Management lawsuit involving GWG L Bond losses
- Ausdal Financial Partners lawsuit involving GWG investments
- Center Street Securities lawsuit involving GWG L Bonds
Brokerage Firm Lawsuits & Investment Loss Claims
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- David Lerner Associates Inc.: Investor Lawsuit
- Equitable Advisors and Aegis Capital: Investor Lawsuit
Learn more about investors lawsuits and complaints involving Aegis Capital Corp. - Traderfield Securities Investor Lawsuit
- Truist and BBT Securities: Investor Lawsuit
- Great Point Capital Investor Lawsuit
- Emerson Equity LLC: Investor Lawsuit involves DSTs
- Concorde Investor Services: Investor Lawsuit
- Centaurus Financial Complaint Alleges Unsuitable Investments
- Baker Tilly Capital Lawsuit alleges unsuitable investments
- Emerson Equity Lawsuit involves Four Springs Capital
- Merrill Lynch, Bill King Lawsuit alleges Unsuitable Investments
Learn more about our lawsuits and complaints involving former Merrill Broker Bill King - Cabot Lodge Securities: Customer Complaint
- MML Investor Services: Customer Dispute
- Triad Advisors: Investor Dispute
- National Securities Corp and B. Riley Wealth Investor Dispute
- Newbridge Securities Corp.: Investor Dispute
- Citigroup Global: FINRA Claim Alleges Unsuitable Investments
- Sunbelt Securities: FINRA Claim Alleges Unsuitable Investments
Additional FINRA Arbitration & Investor Claims
- FINRA claim against Emerson Equity LLC involving investment losses
- FINRA Claim Filed against Advisory Group Equity Services alleges Investment Losses Learn more about investor lawsuits and complaints involving Osaic Wealth.
- FINRA Claim Filed against Centaurus Financial alleges Unsuitable Investments
Firm Announcements & Case Activity
- The White Law Group opens new office in Seattle, Washington.
- 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
- The White Law Group Files Second Lawsuit, Laidlaw & Co.
More Press Releases
- Patrick Capital Markets: Investor LawsuitLearn more about complaints and regulatory actions involving Patrick Capital Markets.
- The White Law Group Files FINRA Claim Against CeteraLearn more about investor complaints and sanctions involving Cetera.
- American Investment Trust Services: FINRA ClaimLearn more about complaints and regulatory actions involving American Investment Trust
- 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 Announces the Filing of a FINRA Arbitration Claim Against IBN Financial Services, Inc.Learn more about regulatory sanctions and complaints involving IBN Financial Services.
- The White Law Group Files Another FINRA Lawsuit Involving GWG L Bonds
- The White Law Group, LLC Announces Potential Securities Claims Involving Hospitality Investors Trust Inc.
This is a representative list of cases. Additional matters and filings are regularly updated.
FAQs About Media Coverage & Investment Claims
What is a FINRA arbitration claim?
A FINRA arbitration claim is the primary method investors use to resolve disputes with brokerage firms and financial advisors. These claims are typically filed through the Financial Industry Regulatory Authority rather than in court.
Is a FINRA claim the same as a lawsuit?
While often referred to as an investor lawsuit, most disputes against brokerage firms are handled through FINRA arbitration, which is generally faster and more streamlined than traditional litigation.
What types of cases does The White Law Group handle?
The firm represents investors in cases involving unsuitable investments, misrepresentation, Ponzi schemes, selling away, unauthorized trading, and other forms of broker misconduct.
Why does media coverage matter when choosing a securities attorney?
Media recognition can reflect a law firm’s experience, credibility, and involvement in significant or high-profile investment cases.
