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Tag: law firm

Blog, Securities Fraud Articles

Reynold Frank Vaughan III suspended from FINRA for securities violations.

Reynold Frank Vaughan III suspended from FINRA for four months for securities violations. Without admitting or denying the findings,...

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Blog, Securities Fraud Articles

Charles Edward Roden, of Oppenheimer & Co., Inc. in Armonk, New York, fined and suspended by FINRA for securities violations.

According to a recent FINRA announcement, Charles Edward Roden, of Oppenheimer & Co., Inc. in Armonk, New York, was really fined $5,000...

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Blog, Securities Fraud Articles

Jorge Gerardo Pereira suspended from FINRA

Jorge Gerardo Pereira, formerly of Synergy Investment Group, LLC in Miami, Florida, suspended from FINRA and fined $5,000. Without...

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Blog, Securities Fraud Articles

Jamie Patrick Lake, formerly of Questar Capital Corporation in Scranton, Pennsylvania, barred from FINRA for various securities violations.

Jamie Patrick Lake, formerly of Questar Capital Corporation in Scranton, Pennsylvania, barred from FINRA. Without admitting or denying the...

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Blog, Securities Fraud Articles

Matthew D. Weitzman, formerly of AFW Wealth Advisors, investigated by SEC.

On August 19, 2009, the Securities and Exchange Commission issued an Order Instituting Administrative Proceedings Pursuant to Section...

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Blog, Securities Fraud Articles

Michael A. Atkins barred from securities industry.

On August 19, the Securities and Exchange Commission issued an Order Instituting Administrative Proceedings Pursuant to Section 15(b) of...

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