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9 Proven Strategies for Defending an SEC Investigation
Defending an SEC Investigaton Facing an SEC investigation can be a daunting challenge for any individual or organization and defending an SEC investigation takes experience and knowledge. The SEC is a formidable regulatory body with the authority to scrutinize financial activities, and being prepared for such an inquiry is crucial. […]
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What Does a Securities Lawyer Do?
Mark J. Astarita, Esq. is a nationally recognized securities attorney, representing clients in securities investigations, arbitrations and litigation matters across the country. You can contact him at 212-509-6544 or by email at mja@sallahlaw.com While securities law is itself a specialized field of law, there is more than one type of […]
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Rule 8210 – How You Respond Makes a Difference
For FINRA member firms, and employees of FINRA firms (even those who are not registered) FINRA Rule 8210 (Provision of Information and Testimony and Inspection and Copying of Books) gives FINRA the authority to request documents and testimony from firms, registered persons, and, in FINRA’s view, other persons and entities […]
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Whistleblowers Need Lawyers
By Mark J. Astarita, Esq. Navigate the SEC whistleblower process with our comprehensive guide. Learn how to report financial misconduct confidently and protect your identity. A detailed walkthrough ensures you understand each stage, empowering you to play a crucial role in maintaining integrity in the financial sector. The SEC whistleblower […]
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SEC Subpoenas – Tips for Responding – 2023
How you respond to an SEC subpoena makes a difference. Tips from an experienced securities attorney.
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Can The SEC Bring Criminal Charges?
While the SEC has extremely broad investigative and enforcement powers, it cannot file criminal charges. It can, and often does, work with the Department of Justice and the United States Attorney’s Office to bring those charges. The SEC and the DOJ often work together, with the SEC sending its more […]
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What is Securities Arbitration?
Securities arbitration has become the most often-used method of resolving disputes in the securities industry. Since the late 1970’s, FINRA and its predecessors have required brokerage firms and stock brokers into securities arbitration to resolve their disputes with each other, and with their customers. That requirement led to brokerage firms […]
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UBS Keeps Losing its Attempt to Vacate $11-Mln Finra Award
Back in December 2019 UBS lost an arbitration case brought by Mark Munizzi, a former UBS regional compliance officer in Chicago, whom the wirehouse fired in 2018. His claim was based on his allegations UBS defamed him with the language it put on his U5 form filed with the Central […]
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SEC Awards More Than $28 Million to Whistleblower Who Aided SEC and Other Agency Actions
The Securities and Exchange Commission today announced an award to a whistleblower totaling more than $28 million in connection with an SEC enforcement action and a related action by another federal agency. The whistleblower’s information caused… Read the Full Press Release Have a securities law question? Call Sallah Astarita & […]
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SEC Charges Healthcare Company and Its Founder with Multimillion Dollar Fraud
The Securities and Exchange Commission has charged a New Jersey-based healthcare company and its founder with fraudulently raising nearly $4 million from over 130 investors nationwide through the sale of membership units in the company. According to the complaint, since July 2017, Premier Healthcare Solution LLC and its founder, Josiah […]
Recent Posts
Enforcement
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Daniel R. Gregus, Director of the Chicago Regional Office, to Depart the SEC
December 7, 2023The Securities and Exchange Commission today announced that Daniel R. Gregus, Director of the Chicago Regional Office, will leave [...] -
SEC Charges Five Unregistered Brokers, Four Companies in Widespread Pre-IPO Fraud Scheme
December 7, 2023The Securities and Exchange Commission today announced charges against Raymond J. Pirrello, Jr., Marcello Follano, Robert [...] -
SEC Investor Advocate’s Recommendations on Arbitration and Index-Linked Annuities
December 5, 2023Washington D.C., Dec. 5, 2023 — In a move towards transparency and investor empowerment, the Securities and Exchange [...]
- SEC Alleges $35 Million Fraud Against ArciTerra and CEO Jonathan Larmore
- SEC Names Kate E. Zoladz as Regional Director of Los Angeles Office
- SEC Adopts Rule to Prohibit Conflicts of Interest in Certain Securitizations
Arbitration
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SEC Investor Advocate’s Recommendations on Arbitration and Index-Linked Annuities
December 5, 2023Washington D.C., Dec. 5, 2023 — In a move towards transparency and investor empowerment, the Securities and Exchange [...] -
Arbitration Claims Filed Against Stifel Broker Chuck Roberts
August 1, 2023A veteran financial advisor with Stifel Nicolaus & Co. Inc. is facing a rash of investor complaints stemming from the sale of [...] -
What Does a Securities Lawyer Do?
March 16, 2023Mark J. Astarita, Esq. is a nationally recognized securities attorney, representing clients in securities investigations, [...]
- What is Securities Arbitration?
- Securities Arbitration Overview-2023 Update
- Tips for a Successful Securities Mediation
Cryptocurrency
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SEC Halts Utah-Based Crypto Asset Fraud Scheme Involving 18 Defendants
September 4, 2023The SEC has secured temporary asset freezing, restraining orders, and other emergency measures against Digital Licensing Inc., [...] -
Impact Theory Charged by SEC for Unregistered Offering of Crypto Asset Securities
August 28, 2023The Securities and Exchange Commission (SEC) has taken action against Impact Theory, LLC, a prominent media and entertainment [...] -
SEC lawyers learned ‘nothing’ from Ripple case
August 23, 2023From Finbold.com: https://finbold.com/legal-expert-blasts-arrogant-sec-lawyers-for-learning-nothing-from-ripple-case/ While the [...]
- Misleading Advertising and Compliance Failures: SEC Charges Titan Global Capital Management
- Settlement:Bittrex Settles Charges of Operating Unregistered Securities Exchange
- SEC Obtains Emergency Relief to Halt Crypto Asset Fraud Scheme Involving 18 Defendants
Brokers
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9 Proven Strategies for Defending an SEC Investigation
November 26, 2023Defending an SEC Investigaton Facing an SEC investigation can be a daunting challenge for any individual or organization and [...] -
FINRA Rule 8210 – Avoiding Enforcement Proceedings
November 3, 2023
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SECLaw Primers
- Guide to Broker-Dealer Registration
- Expungement of Customer Complaints
- Introduction to Blue Sky Laws
- Federal Securities Law, a Securities Lawyer Guide
- Understand What is a Security?
- Finders Explained – Be Careful
- The Firm’s Lawyer or Your Own Lawyer?
- Hearing Hearing
- What is Securities Law?
- Securities Attorney
- Responding to a Wells Notice
- Can I Take My Client Information When I Leave My Firm?
- Can a Non-Citizen Be An Accredited Investor?
- What is a Ponzi Scheme
- SEC Subpoena, FINRA OTR – What do I do?
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