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News
SEC Charges Seven Individuals for $45 Million Fraudulent Scheme
The Securities and Exchange Commission today charged seven individuals and a technology company in connection with a fraudulent scheme to gain control of Airborne Wireless Network, promote its stock, and defraud investors. According to the SEC’s… Read the Full Press Release Have a securities law question? Call Sallah Astarita & […]
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News
SEC Suspends Trading in Inactive Issuer Touted on Social Media
The Securities and Exchange Commission today suspended trading in an inactive company amid questions surrounding online promotion of the company’s securities and recent trading activity. The SEC’s trading suspension order states that since late January… Read the Full Press Release Have a securities law question? Call Sallah Astarita & Cox […]
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News, Whistleblower
SEC Awards More Than $300,000 to Whistleblower with Audit Responsibilities
The SEC announced an award of more than $300,000 to a whistleblower whose high-quality information and continuing assistance significantly contributed to a successful enforcement action. According to the press release, the whistleblower became aware of the potential securities law violations in connection with audit-related responsibilities. Although individuals with audit or […]
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News
UBS Smacked For Unnecessary Defamation of Terminated Employee – $11 Million
Punitive damage awards in arbitration are rare. I was able to obtain one against a major brokerage firm years ago for a disabled investor, but they don’t happen often. However, last year a FINRA arbitration panel ordered UBS to pay $7.5 million in punitive damages to a compliance officer who […]
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Corp Finance, News
General Electric Agrees to Pay $200 Million Penalty for Disclosure Violations
General Electric Co. (GE) has agreed to pay a $200 million penalty to settle charges for disclosure failures in its power and insurance businesses. In 2017 and 2018, GE’s stock price fell by almost 75% as challenges in its power and insurance businesses were disclosed to the public. According to […]
Featured Posts
Whistleblowers
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SEC Issues $1.8 Million Whistleblower Award to a Company Outsider
September 29, 2020The Securities and Exchange Commission today announced an award of over $1.8 million to a company outsider, who expeditiously [...] -
SEC Adds Clarity, Efficiency and Transparency to Its Successful Whistleblower Award Program
September 23, 2020The Securities and Exchange Commission today voted to adopt amendments to the rules governing its whistleblower program that are [...] -
Whistleblowers Receive $2.5 Million for Detailed Analysis That Led to Successful Actions
September 1, 2020The Securities and Exchange Commission today announced an award of over $2.5 million to joint whistleblowers whose tip based [...] -
Another Whistleblower Award – $18 Million to Whistleblower
April 29, 2020The SEC awarded more than $18 million to a whistleblower whose significant information prompted an examination that resulted in [...] -
New SEC Whistleblower Awards
January 24, 2020The SEC whistleblower program has generated significant awards to individuals who provide original information that leads to [...]
Arbitration
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UBS Arbitration Claims Moving Forward
October 6, 2020UBS customers who have lost money in the UBS Yield Enhancement Strategy (UBS YES), and who have filed arbitration claims against [...] -
New FINRA Expungement Rules Effective in September
August 26, 2020The FINRA CRD system, with its BrokerCheck component, has been a thorn in the side of financial professionals since BrokerCheck [...] -
What is Securities Arbitration?
December 13, 2019Securities arbitration has become the most often used method of resolving disputes in the securities industry. Since the late [...] -
FINRA Discovery Guide
May 3, 2019Discovery has always been a problem in litigation matters. In broad strokes, plaintiffs want to see every document that might [...] -
SDNY Defines Customer under FINRA Rule 12200
April 26, 2019Judge Laura Taylor Swain of the Southern District of New York has issued a decision defining a customer, for purposes of FINRA [...] -
Overview of the Securities Arbitration Process
March 8, 2019Securities Arbitration is not like any other proceeding Nationally known securities attorney Mark Astarita has represented [...]
- Churned or Traded?
- Insight into the FINRA Arbitrator Selection Process
- Typical Customer Arbitration Claims
Brokers
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Review Your WSPs – Subpoenas are Coming
February 16, 2021The authority to open SEC investigations, and therefore to issue subpoenas, was expanded under the Obama Administration to the [...] -
New FINRA Expungement Rules Effective in September
August 26, 2020The FINRA CRD system, with its BrokerCheck component, has been a thorn in the side of financial professionals since BrokerCheck [...] -
Regulation Best Interest (Regulation BI) Compliance Due June 30, 2020
June 11, 2020Compliance with Regulation Best Interest (Regulation BI) and Form CRS is due on June 30, 2020 for all registered broker-dealers [...]
- Introduction to Regulation Best Interest
- This is Your Life – Your CRD Record
- How Long Does an SEC Investigation Take?
Compliance
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Review Your WSPs – Subpoenas are Coming
February 16, 2021The authority to open SEC investigations, and therefore to issue subpoenas, was expanded under the Obama Administration to the [...] -
Firm Settles Charges of Defrauding Investors, Refunds Allegedly Ill-Gotten Gains
August 14, 2020The Securities and Exchange Commission today announced that SCF Investment Advisors, Inc. (SCF) has agreed to settle charges that [...] -
Regulation Best Interest (Regulation BI) Compliance Due June 30, 2020
June 11, 2020Compliance with Regulation Best Interest (Regulation BI) and Form CRS is due on June 30, 2020 for all registered broker-dealers [...]
- How Long Does an SEC Investigation Take?
- The Wells Notice SEC/FINRA Investigations
- Recent FINRA Rule Filings
Corp Finance
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NASAA Objects to Finder Change
November 18, 2020From JD Supra’s post from the California Corporate and Securities Law Blog: The North American Securities [...] -
Accredited Investor Definition
July 4, 2019Under the federal securities laws, while a company may not offer or sell securities without registration with the SEC, there are [...] -
SEC Proposes to Improve Disclosures Relating to Acquisitions and Dispositions of Businesses
May 5, 2019The SEC has voted to propose rule amendments to improve the information that investors receive regarding the acquisition and [...]
- Congress Still Trading On Non-Public Information?
- SEC’s Fast Answers – Rule 504
- SEC Fast Answers – Rule 506