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Articles Posted in investor fraud

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New Study Reveals: 7% of Financial Advisers Are Guilty of Misconduct. How Safe Are You?

In February 2016, academics Mark Egan, Gregor Matvos and Amit Seru at the University of Minnesota and University of Chicago business schools released a report titled “The Market for Financial Adviser Misconduct” on financial advisers in the United States. The report reveals how rampant securities fraud and broker misconduct is throughout the country. For the…

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FINRA FOCUS: Senior Investors

FINRA’s recently released Regulatory and Examinations Priority Letter made specific mention of multiple critical areas that the regulator will be focused on for the upcoming year.  The one that we will focus on today is the Senior investor and the steps that are and should be taken to prevent elder…

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MainStay Cushing Master Limited Partnerships and Energy Equity Funds Post Significant Losses

The securities and investment fraud attorneys at Malecki Law are interested in hearing from investors in MainStay Investments’ Cushing series Master Limited Partnerships (MLPs) and Energy Equity mutual funds.  MainStay Investments is a subsidiary of New York Life Insurance Company. Among the MainStay Cushing portfolio of funds, a number of…

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Investor Recovery Options As Tortoise Capital Advisor Funds Suffer Losses

The securities and investment fraud attorneys at Malecki Law are interested in hearing from investors in Tortoise Capital Advisors and explore their potential options for recovering their losses. The Kansas-based Tortoise Capital Advisors is a “privately owned investment manager . . . that primarily provides its services to high net…

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Potential Recovery Options for OncoMed (OMED) Investors

Shares of OncoMed (OMED) plunged more than 40% today, January 25th, in the wake of a report concerning a pancreatic cancer drug the company had reportedly been working on.  According to Marketwatch, “an independent data safety monitoring board advised ‘of several findings regarding futility’ of a Phase 2 treatment of…

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Customer Complaints Against Brian J. Gold of UBS in Florida

The investment and securities fraud attorneys at Malecki Law are interested in hearing from investors who have complaints regarding Florida-based UBS stockbroker Brian J. Gold. According to his BrokerCheck report maintained by the Financial Industry Regulatory Authority (“FINRA”), Mr. Gold has been the subject of no less than five customer…

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Malecki Law Investigating Oil and Gas MLP Losses

Oil briefly dropped below $30 per barrel today.  For those who drive SUVs, this may feel like a blessing. However, for those who are heavily invested in Oil and Gas, it can be frightening.  People who invested in Oil and Gas at the recommendation of their financial advisor may be…

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Broker Report: David H. Bindelglass of Morgan Stanley

The investment fraud attorneys at Malecki Law are investigating potential claims by investors against Morgan Stanley stockbroker David H. Bindelglass.  According to his BrokerCheck report maintained by the Financial Industry Regulatory Authority (“FINRA”), Mr. Bindelglass, who works out of Morgan Stanley’s Paramus, New Jersey branch, has been the subject of…

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BROKER REPORT: Ameriprise’s Thomas E. Stratton-Crooke of Ohio Suspended By FINRA

The investment fraud attorneys at Malecki Law are interested in hearing from investors who have complaints financial advisor Thomas E. Stratton-Crooke of Ameriprise Financial Services, Inc., based out of Beachwood, OH. Records from the Financial Industry Regulatory Authority (“FINRA”)  indicate that Mr. Stratton-Crooke has been suspended by FINRA for 10 business…

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BROKER REPORT: Cambria’s Robert H. Potter, Discharged and Barred

The investment fraud attorneys at Malecki Law are interested in hearing from investors who have complaints regarding former stockbroker Robert H. Potter.  According to his BrokerCheck report maintained by the Financial Industry Regulatory Authority (“FINRA”), Mr. Potter has been permanently barred by FINRA.  He has also reportedly been the subject of…

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