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The best way to win your securities fraud case is to prevent it from ever happening in the first place. While even the most savvy investor can fall prey to fraudsters, a trusted Securities Fraud Attorney lets you in on some tips that will enable you to spot some of the more obvious securities fraud attempts out there today. To learn more visit www.investorclaims****
9 Aug 2010
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2:08
Securities Fraud & investment fraud lawyer David Meyers founding partner of the law firm Meyer Wilson explains the securities arbitration process his investment fraud firm undergoes to help investors recover their losses. Want to recover your losses? Investment recovery can be a long road, so start here: www.investorclaims****
14 Nov 2011
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2:15
In 2017, The U.S. Securities & Exchange Commission (SEC) reported 230 securities and investment fraud offenses. In 2017, the median value of financial of financial advisor fraud topped $484 million. • Securities Fraud in the U.S. ◦ 85% of offenders are people with no criminal history ◦ $484 million in assets will be owned by those over age 65 Examples of Investment Broker & Financial Advisor Fraud • Financial Advisor Fails to disclose the risk of an investment strategy • Financial Advisor Fails to disclose the cost of a transaction at the time of the recommendation • Financial Advisor Fails to discuss the pros and cons of buying or selling an investment or pursuing a strategy • Financial Advisor Fails to disclose financial interests their employing brokerage firm has in the investment being recommended • Financial Advisor Fails to put your interests in front of their own • Financial Advisor Fails to disclose all material facts prior to recommending a transaction What are the Signs of Broker Negligence and/or Fraud? • In reviewing your investment accounts, the following activities may be evidence of fraud or misconduct by your Financial Advisor: ◦ Your investment account experiences a sudden or substantial loss ◦ You notice unusual or unexplained withdrawals from your investment account ◦ Your broker puts pressure on you to make a transaction ◦ Your broker recommends an excessive number of trades in your investment account ◦ You notice unauthorized transactions in your investment account ◦ Your Financial Advisor makes misleading statements or fails to disclose materials facts at the time he/she makes an investment recommendation ◦ Your brokerage firm or Financial Advisor fails to fully disclose actual or potential conflicts of interest Call today to speak with a securities and investment fraud lawyer at Wolper Law Firm Wolper Law Firm, P.A. 1250 S Pine Island Rd Suite 325 Plantation, FL
13 Jun 2019
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1:27
We are proud to present this video providing information to the investing public about the risks to certain investors of investing on margin. It is important for investors to understand the way their financial professionals are investing their money and when those practices may be against industry regulations. The White Law Group is a national securities arbitration and investor protection law firm. For more information about our firm or the information in this video feel free to visit our website at *******www.whitesecuritieslaw**** or call our Chicago offices at 312-238-9650.
23 Sep 2011
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The White Law Group is a national securities arbitration and investor protection law firm. For more information about our firm or the information in this video feel free to visit our website at *******www.whitesecuritieslaw**** or call our Chicago offices at 312-238-9650. We are proud to present this video providing information to the investing public about the risks to certain investors of over-concentration of investments in a particular market sector or product. It is important for investors to understand the way their financial professionals are investing their money and when those practices may be against industry regulations.
23 Sep 2011
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1:15
The White Law Group is a national securities arbitration and investor protection law firm. For more information about our firm or the information in this video feel free to visit our website at *******www.whitesecuritieslaw**** or call our Chicago offices at 312-238-9650. We are proud to present this video providing information to the investing public about the risks of investing in products that financial professionals indicate are “guaranteed winners” or “no-risk” investments. It is important for investors to understand the way their financial professionals are investing their money and when those practices may be against industry regulations.
23 Sep 2011
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The White Law Group is a national securities arbitration and investor protection law firm. For more information about our firm or the information in this video feel free to visit our website at *******www.whitesecuritieslaw**** or call our Chicago offices at 312-238-9650. We are proud to present this video providing information to the investing public about unauthorized trading of their brokerage account. It is important for investors to understand the way their financial professionals are investing their money and when those practices may be against industry regulations.
23 Sep 2011
335
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1:29
The White Law Group is a national securities arbitration and investor protection law firm. For more information about our firm or the information in this video feel free to visit our website at *******www.whitesecuritieslaw**** or call our Chicago offices at 312-238-9650. We are proud to present this video providing information to the investing public about being invested by a financial professional in unsuitable investments. Not all investments are suitable for every investor and it is the responsibility of the broker-dealer to advise their clients to invest in sectors and products suitable for each individual. It is important for investors to understand the way their financial professionals are investing their money and when those practices may be against industry regulations.
23 Sep 2011
275
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2:07
The White Law Group is a national securities arbitration and investor protection law firm. For more information about our firm or the information in this video feel free to visit our website at *******www.whitesecuritieslaw**** or call our Chicago offices at 312-238-9650. We are proud to present this video about securities regulation issues involving variable annuities. It may assist investors in understanding when the sale of variable annuities may be in violation of securities regulations.
23 Sep 2011
176
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1:56
The White Law Group is a national securities arbitration and investor protection law firm. For more information about our firm or the information in this video feel free to visit our website at *******www.whitesecuritieslaw**** or call our Chicago offices at 312-238-9650. We are proud to present this video providing information to the investing public about non-traded REITs and when the sale of these REIT investments may be inappropriate for certain investors.
23 Sep 2011
217
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2:15
In 2017, The U.S. Securities & Exchange Commission (SEC) reported 230 securities and investment fraud offenses. In 2017, the median value of financial of financial advisor fraud topped $484 million.
10 Jul 2019
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2:08
www.ohio-stock-broker-fraud-attorney**** In this video, Cleveland investment fraud lawyer David Meyer of the Meyer Wilson law firm discusses Ohio investor claims and class action lawsuits. The team of experienced Cincinnati securities fraud attorneys at Meyer Wilson handles ponzi schemes, stock scam, affinity fraud, and other investor claims. If you have been the victim of investment fraud or stockbroker negligence, contact our law firm today. We will review your case for free and if we decide to take your case it will be handled on a contingency fee basis. 1-866-827-6537
28 Feb 2012
291
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