Investment Fraud Lawyers

Haselkorn and Thibaut, InvestmentFraudLawyers.com, specialize in fighting for investors nationwide and have offices in Florida, New York, North Carolina, Arizona, and Texas. We have over 50 years of experience and a 98% success rate.   Call us now for a free consultation at 1-800-856-3352 or email us at [email protected] No Recovery, no fee.

News Report 8/18/17

CNBC reported on 8/16/17 that while D.C. deregulates, the states are stepping in as Wall Street watchdogs. For example, the Massachusetts state securities regulator announced a recent investigation into how top U.S. brokerage firms handle customer buy and sell orders and whether customers are getting the best prices for their trades. On 8/17/17 Financial-planning.com had […]

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News Report 8/11/17

On Wednesday, August 9, 2017, the Department of Labor (DOL) sought an 18 month delay for implementing the final part of its fiduciary. Many observe that this delay is certainly beneficial to the industry stake holders at the expense of individual investors. The rule actually went into effect on June 9, 2017, but there has

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News Report 8/4/17

The North American Securities Administrators Association (NASAA), an association of state securities regulators, released a 23-page report of a broker-dealer survey conducted in 2016 focusing on senior investors. The report was released in mid-June 2017 and it included data from 60 broker-dealer firms relating to the supervision of seniors accounts and escalation of senior issues.

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Report 7/21/17

Gary Kenneth Rasmussen is registered with J.W. Cole Financial, and previously registered with Financial Advisors of America. Rasmussen is believed to have been the subject of one or more customer complaints related to alleged recommendations of unsuitable investment products. See: FINRA brokercheck. If you are an investor who has suffered losses with Rasmussen, J.W. Cole

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Report 7/14/17

Dion Padilla was registered with NEXT Financial Group, LLC and Padilla is believed to have been the subject of a FINRA regulatory action based on allegations relating to variable annuity transactions that may have included misrepresentations and/or unauthorized transactions. See: FINRA brokercheck. If you are an investor who has suffered losses with Padilla at NEXT

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