If you or someone you know has an account with Jesus Rodriguez and may be affected by the alleged misappropriation, we urge you to take action. Contact Savage Villoch Law now by emailing or calling us at 813-200-0013 for guidance
Securities Fraud Lawyer Blog
The Securities Fraud Lawyer Blog, published by Savage Villoch Law, PLLC, focuses on legal issues related to securities fraud and investor protection. It covers topics such as spokesperson liability in investment endorsements, regulatory sanctions against financial firms, cases of financial advisor misconduct, and the enforcement of FINRA rules. The blog discusses legal actions involving misrepresentation, fraud, unauthorized transactions, and compliance failures in the financial industry. It also explores regulatory frameworks, investor rights, arbitration challenges, and the balance between industry competitiveness and investor safeguards. The content aims to inform investors about potential legal remedies and regulatory developments affecting securities and investment practices.
Latest from Securities Fraud Lawyer Blog - Page 2
Balancing Investor Protection and Industry Competitiveness: The Debate Over Mandatory Insurance for FINRA Registered Representatives
By Alfred Villoch, III
The issue of unpaid arbitration awards issued by FINRA against FINRA registered representatives is a growing concern in the financial industry, and it has garnered attention from organizations like PIABA (Public Investors Advocate Bar Association). Many…
Prohibiting Time and Price Discretion – A Case Study of Dominic Joseph Carlo
Prohibiting Time and Price Discretion – A Case Study of Dominic Joseph Carlo
Introduction
The Financial Industry Regulatory Authority (FINRA) is a self-regulatory organization that oversees the conduct of broker-dealers and their associated persons. One of the key principles that…
How unsuitable investments, unnecessary commissions and fees can hurt a vulnerable investor: FINRA disciplines Christopher F. Harrington Jr.
Christopher F. Harrington Jr., a financial advisor based in New York, finds himself in the spotlight as the Financial Industry Regulatory Authority (FINRA) issues an Acceptance, Waiver, and Consent (AWC) order. The order comes after a series of troubling allegations…
INVESTOR ALERT: Jermaine K. Benjamin, a Former Raymond James Financial Advisor, Faces FINRA Investigation Over Customer Complaint
Trust and transparency are the cornerstones upon which clients rely in the financial services industry. Financial advisors are expected to adhere to these principles and maintain the highest ethical standards. However, in a recent matter involving Jermaine K. Benjamin, formerly…
Are You Planning for Retirement or Are You Already Retired? Potential Problems To Consider Before Entrusting Your Retirement Assets to a Registered Investment Adviser
Whether you are in retirement or are planning for retirement, you may consider working with a Registered Investment Adviser (RIA) to manage your retirement assets. RIAs offer professional financial advice and are bound by the fiduciary duty to act in…
Are You Planning for Retirement or Are You Already Retired? Potential Problems To Consider Before Entrusting Your Retirement Assets to a Registered Investment Adviser
Whether you are in retirement or are planning for retirement, you may consider working with a Registered Investment Adviser (RIA) to manage your retirement assets. RIAs offer professional financial advice and are bound by the fiduciary duty to act in…
Los pros y contras de las criptomonedas: desde el punto de vista de un abogado
El auge de las criptomonedas ha sido una de las noticias más importantes del mundo financiero en los últimos años. A medida que las criptomonedas como Bitcoin y Ethereum se han vuelto más populares, muchas personas se han preguntado si…
Margin Accounts and Investors
Margin accounts are a popular tool used by investors to amplify their trading power. However, margin accounts also come with increased risk, and it’s important for investors, particularly senior investors, to understand the responsibilities of their broker-dealer when trading on…