Search Results for: Financial Industry Regulatory Authority

SEC charged Trading Company With failing to maintain Policies to prevent misuse of Material Nonpublic Information

October 13th, 2015 (0)
The Securities and Exchange Commission today charged Wolverine Trading LLC and Wolverine Asset Management LLC with failing to maintain and enforce policies and procedures to prevent the misuse of material nonpublic information. The Chicago-based affiliates will pay more than ...

UBS Unit to Pay $34 Million in Settlements Over Puerto Rico Bond Funds

September 30th, 2015 (0)
Settlements stem from former broker who had customers invest borrowed money in the funds A unit of UBS Group AG agreed to pay roughly $34 million in settlements with U.S. regulators regarding the sale of Puerto Rico bond funds ...

Credit Suisse to Pay $4.25 Million and Admits to Providing Deficient “Blue Sheet” Trading Data

September 29th, 2015 (0)
The Securities and Exchange Commission today charged Credit Suisse Securities (USA) LLC with submitting deficient information to the agency over a two-year period about trades done by its customers, commonly referred to as “blue sheet data.” Credit Suisse Securities ...

Securities broker dealer for bankruptcy liquidation amid legal claims

September 25th, 2015 (0)
An 82-employee securities broker-dealer has shut down and filed for Chapter 7 bankruptcy liquidation after customers asked a federal judge to enforce a $1.54 million arbitration award. Fintegra’s Sept. 16 petition for bankruptcy protection lists $1.8 million in assets ...

FINRA Sanctions 10 Former Global Arena Representatives

September 16th, 2015 (0)
The Financial Industry Regulatory Authority (FINRA) announced that as a result of a 2014 onsite exam, it found securities violations including various misleading sales pitches, customer account churning and other business misconduct at Global Arena Capital Corp. It has ...

SFC warns on unlicensed entity Wells Fargo Global Investments (Hong Kong) Limited

September 10th, 2015 (0)
Regulatory Commission of Hong Kong, Securities and Futures Commission (SFC), has issued a warning to inform public for an unlicensed entity with the name Wells Fargo Global Investments (Hong Kong) Company Limited. The address of the above company and ...

FINRA Issues Investor Alert, Messaging Apps Are Latest Platform for Delivering Pump-And-Dump Scams

September 4th, 2015 (0)
The Financial Industry Regulatory Authority (FINRA) issued a new Investor Alert called Messaging Apps Are Latest Platform for Delivering Pump-And-Dump Scams. FINRA’s new Alert warns investors to be wary of stock promotions sent through increasingly popular messaging apps such as ...

UBS Unit to Pay More Than $2.9 Million to Investors in Puerto Rico

September 2nd, 2015 (0)
Bank’s wealth-management unit ordered to pay two investors for losses tied to island’s municipal bonds UBS AG’s wealth-management unit was ordered to pay more than $2.9 million to two investors in Puerto Rico for losses tied to funds holding ...

FINRA Fines Charles Schwab & Co., Inc. $2 Million for Net Capital Deficiencies

August 25th, 2015 (0)
The Financial Industry Regulatory Authority (FINRA) announced today that it has censured and fined Charles Schwab & Co., Inc. $2 million for net capital deficiencies and for related supervisory failures. The net capital deficiencies occurred on three separate dates ...

SEC Charges 32 Defendants in Scheme to Trade on Hacked News Releases

August 12th, 2015 (0)
Hackers, Traders Allegedly Reaped More Than $100 Million of Illegal Profits The Securities and Exchange Commission today announced fraud charges against 32 defendants for taking part in a scheme to profit from stolen nonpublic information about corporate earnings announcements.  ...
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