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Investment Litigation Blog
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Archives
Posts
2022-05-07:
Reviewing Investment Account Statements During Market Volatility – Five Red Flags
2022-05-02:
What Does it Mean for Investors? LPL Financial Settlement $26 Million
2021-06-24:
Pasieczny Appointed to FINRA’s National Arbitration and Mediation Committee
2021-01-28:
Robinhood Restricts GameStop, AMC, Other Securities – Do Investors Have Claims?
2020-07-23:
SEC Takes Action: False & Misleading Conduct Related to COVID-19
2020-07-16:
Investor Alert – Fraudsters Target CARES Act Retirement Savings Relief
2020-07-08:
Victims of COVID-19 Scams & Cybercrime Need to Act Fast
2020-06-17:
FINRA Issues Warning: Pandemic Volatility Highlights Oil-Linked ETPs Unsuitable for Some Investors
2020-03-06:
Attorney Pasieczny at 40th Annual NWSI in Seattle
2019-04-09:
FINRA Expungement Proceedings
2019-02-19:
Attorneys Blachly & Pasieczny Present on Combating Financial Elder Abuse
2019-02-06:
Securities Attorney Darlene Pasieczny to Speak on FINRA Expungement Issues in Washington DC
2018-11-16:
Were You a Client of Broker Daniel Noah Winger?
2018-11-06:
Were You a Client of Broker Jameson Jeewon Shin?
2018-11-06:
Elder Financial Abuse – Do I Have a Claim?
2018-10-30:
Does My Investment Advisor Have Insurance?
2018-05-08:
Pasieczny Moderates PIABA Panel on Cryptocurrency Investment Regulation
2018-05-08:
Mediation and FINRA Arbitration
2018-02-08:
Down Markets – A Good Time to Look For Red Flags and Recoverable Investment Losses
2018-02-08:
Ten Red Flags for Investors
2018-02-05:
New FINRA Rule to Help Prevent Elder Financial Abuse
2018-01-07:
Investor Alert – NASAA and SEC Warn about Cryptocurrency Related Investments
2018-01-04:
Investor Alert – Cryptocurrency Stock Scams
2017-12-28:
Raymond James Fined $2 Million by FINRA for Supervisory Failures
2017-11-21:
FINRA Expels New York Stockbroker Hank Mark Werner
2017-07-13:
Dual-Registered Advisors Barred From Recommending 401(k) Rollovers
2016-02-12:
George Merhoff and Energy Stocks – The Investigation Continues
2016-01-13:
Before Hiring a Financial Professional – Ask These Questions
2015-12-07:
Form U5 Information Gets to BrokerCheck Faster with New FINRA Rule Change
2015-09-25:
LPL Financial In Trouble Again For Improper Sales of Non-Traded REITs
2015-05-20:
Investor Alert: Kevin Winder Lesson – Beware of Promised High Return Investments
2015-05-07:
LPL Financial – More Supervisory Failures in Sales of ETFs, Annuities, REITs
2015-04-21:
New FINRA/SEC Report: Sales Practices Targeted at Seniors
2015-04-09:
Are FINRA Arbitration Hearings for Securities Disputes Public Record?
2015-04-08:
LPL’s Trail of REIT Sales Draws Complaints – Recover your LPL Loss
2015-04-06:
FINRA Sanctions Oppenheimer $3.75 Million for Failure to Supervise Ex-Broker Mark Hotton
2015-03-30:
Investor Confusion from Misleading Brokerage Industry Advertising – When is Your Advisor a Fiduciary?
2015-03-30:
Investor Rights Update: Investor Choice and a Uniform Fiduciary Standard
2015-03-30:
Supreme Court decides Omnicare Securities Case, Clarifies Section 11 Claim Standards
2015-03-30:
New FINRA Report: $50 Billion Lost Yearly to Financial Fraud… Victims Suffer “Non-Traditional” Costs as Well as Direct Financial Losses
2015-01-27:
Scrutiny of High Risk Investments Among FINRA’s 2015 Priorities
2015-01-14:
Will the Texas Supreme Court Rule That Life Settlement Policies Are Investment Contracts?
2015-01-01:
SWS Financial Services Variable Annuities
2015-01-01:
Municipal Bonds
2015-01-01:
Master Private Equity Fund
2015-01-01:
Energy Investments
2015-01-01:
Barclays Bank Delaware Certificates of Deposit Linked to the Performance of the Q-GSP Large Cap US Risk Controlled 5% USD ER Index due February 28, 2019
2015-01-01:
American Realty Capital Properties Inc., (NASDAQ: ARCP)
2015-01-01:
Inland American Non-Traded Real Estate Investment Trust (REITs)
2015-01-01:
Contingent Income Auto-Callable Securities due September 5, 2013, Based on the Performance of the Common Stock of Apple Inc.
2015-01-01:
Behringer Harvard REIT I Inc
2015-01-01:
Callable Variable Rate Range Accrual CDs Linked to 6-Month USD LIBOR and the S&P 500 Index Due August 31, 2027
2015-01-01:
Hines Global REIT
2015-01-01:
Cole Credit Property Trust III
2015-01-01:
Wells Timberland REIT
2015-01-01:
Cornerstone Industrial Properties Leveraged Fund Advisors, LLC
2015-01-01:
Hartford Director M Variable Annuity (multiple series)
2015-01-01:
SunAmerica Polaris Retirement Protector
2015-01-01:
AXA Equitable Accumulator Series
2015-01-01:
Hartford Leaders Outlook Variable Annuity (multiple series)
2015-01-01:
Aequitas Products
2014-12-05:
The Consumer Federation of America is Seeking Investor’s Stories
2014-10-31:
FINRA’s New Director Of Dispute Resolution – Richard Berry
2014-10-20:
Confused About Crowdfunding Rules?
2014-10-04:
UBS Puerto Rico Bond Fund
2014-10-03:
SWS Financial Services Faces FINRA Charges For Improperly Supervised Sales of Variable Annuities
2014-07-29:
Senators Push For Financial Reform
2014-06-18:
Not just 401(k) Rollovers into IRAs, Brokers Target Retiring Employees with High Commission Variable Annuities and Non-Traded REITs
2014-06-12:
A Uniform Fiduciary Standard For Brokers and RIAs: Is It Coming And Does It Matter?
2014-05-30:
KEZI News Covers McKee Sentencing
2014-05-14:
$1.2 Million JAMS Arbitration Award
2014-04-15:
Proposed FINRA Expungement Rule – Nice Try, But Still Comes Up Short
2014-03-07:
How Brokerage Reports Are Like Swiss Cheese
2014-01-06:
SEC Raises Concerns About Reverse Churning In Fee Based Accounts
2013-10-28:
Pasicezny Recognized For Her Work To Protect Investors
2013-10-25:
FINRA’s BrokerCheck Under Fire
2013-10-04:
Felony Charges for Walter & Kelly Ng, but Can Investors get Their Money Back?
2013-10-03:
Adorean Boleancu – In Trouble With FINRA And In Court
2013-10-02:
Fiduciary For Brokers AND Advisors
2013-09-26:
FINRA Disciplinary Action: Cline, Burr, Christopher, Gillelan
2013-09-24:
Concern with Private Placement Offerings
2013-09-20:
Alert – Bankers Life Annuity
2013-09-19:
New SEC Rules Make Public Arbitration Panel the Default Option
2013-09-19:
Investment Product Warnings
2013-07-18:
FINRA Warnings on IRA’s
2013-07-03:
FINRA Disciplinary Actions: Stephen Pizzuti
2013-07-03:
FINRA Disciplinary Actions: John W. DuBrule
2013-07-03:
FINRA Disciplinary Actions: Kevin A. Tuttle
2013-06-25:
More on Craig Berkman
2013-06-20:
FINRA Disciplinary Actions: Ormond Hart Ormsby
2013-06-18:
Complex VAs Draw SEC’s Attention
2013-06-17:
New “Money Smart for Elder Adults” Guide
2013-06-16:
REITs “In the Late Innings”
2013-06-15:
June 15 is World Elder Abuse Awareness Day
2013-06-12:
Oregon Expands Mandatory Elder-Abuse Reporters
2013-06-11:
Pitfalls of Variable Annuities
2013-06-10:
More “Disclosure Events” Removed from BrokerCheck
2013-06-04:
Is SEC About to Undermine Fiduciary Standard?
2013-06-03:
RIA Sector Likely to Consolidate
2013-05-20:
Senate Launches Pension-Buying Probe
2013-05-18:
New Regulations for Derivatives Market
2012-12-29:
Elder Financial Abuse Growing
2012-12-28:
DOJ Probing HP / Autonomy
2012-12-27:
FINRA Fines Banks for Bond Misconduct
2012-12-26:
Ninth Circuit Addresses Wells Fargo Overdrafts
2012-12-20:
Herbalife Attacked as Fraud
2012-12-19:
Industry Resists New ERISA Rules
2012-12-17:
Plausible Challenge to Zeek Receiver
2012-12-16:
“Cherry-Picking” at Aletheia
2012-12-14:
Crowdfunding Hotly Anticipated
2012-12-14:
2013 at the SEC
2012-12-13:
Provident Royalties CFO Indicted
2012-12-12:
Mass. Regulators Move Against Nontraded REITS
2012-12-11:
Former Oregon Governor Fraud Victim
2012-12-11:
U.S. Representative from Oregon Jailed, Fined
2012-12-11:
Judge: Investors Recover 1% of Losses
2012-12-10:
Three More Traders Implicated in Grifphon Ponzi Scheme
2012-12-07:
Peregrine Auction Nets .5% of Shortfall
2012-12-07:
Lead Plaintiffs Named in two Facebook IPO Suits
2012-12-06:
ZeekRewards Breaks New Ground in Clawback Litigation
2012-12-05:
Secretly Recording FINRA Arbitration
2012-12-05:
Neuroscience and Elder Abuse
2012-12-05:
ZeekRewards Affiliates Move to Stop Receiver
2012-12-04:
FBI Criminal Conviction in Online Pump-And-Dump
2012-12-03:
SEC Will Delay Huge Market Tracking System
2012-12-03:
Trustee Under Fire in New Mexico Ponzi Clawback
2012-11-29:
FINRA Wants to Reveal Brokers’ Compensation
2012-11-29:
JOBS Act Likely to Increase Investment Fraud
2012-11-26:
SCOTUS Consistent, Again, on Federal Arbitration Act
2012-11-14:
Corporate Executives Newly Vulnerable in Section 304 Clawback Ruling
2012-11-13:
Largest Insider-Trading Case Calued at $276M
2012-10-23:
Head of Providence Capital Indemnity Jailed
2012-10-23:
State-Level Securities Regulation more Aggressive
2012-10-18:
HSBC Sued Over “Reverse Redlining”
2012-10-04:
More Indictments for Scott McKee
2012-09-27:
FINRA Investor Alert on “When Trading Stops”
2012-09-25:
Upcoming SCOTUS Case Examines ‘Discovery Rule’
2012-09-24:
FINRA Censures and Fines Merrill Lynch
2012-08-30:
We’re Adding Some Brain Power to our 30 Years of Experience
2012-08-29:
Clawback Claims Coming to ZeekRewards Ponzi Scheme?
2012-08-13:
Addition of Darlene Pasieczny to the Firm
2012-06-08:
Update on Meridian Clawback Claims
2012-05-21:
Meeting for Meridian Victims Scheduled
2012-05-21:
Investigation of Non-Traded REITs for Non-Disclosure of Investment Risks
2012-05-17:
Alert for Meridian Mortgage Investors
2012-05-17:
Investigation of Meridian Mortgage “Clawback” Claim
2012-05-16:
Meridian Mortgage Investors in “Clawback” Claims Brought by Trustee Mark Calvert
2012-03-26:
Are you at Risk for Investment Fraud?
2012-02-16:
FINRA Files Claim Alleging McKee’s Trail of Fraud
2012-02-07:
Richard Thomas and SSI Investments Named as Respondents
2012-02-02:
Investors Warned of J. Scott McKee
2012-01-27:
Demand Sent on Behalf of Former Scott McKee Investors
2012-01-19:
Continuing Investigation into James Scott McKee
2012-01-19:
More Grifphon Alpha Fund Victims Emerge
2012-01-19:
Our Client Awarded $7.8 Million
2012-01-19:
Retained by Sikh Dharma International
2011-10-12:
A New Movie, “Gold Diggers: Investment Fraud in the Treasure State”, Debuts in Montana
2011-10-05:
Update for Clients of James Scott McKee and Berthel Fisher LLP
2011-09-30:
New Investigation Into Possible South Dakota Ponzi Scheme
2011-09-23:
Six Hooks that Lure Investors
2011-09-15:
Gold Scams Attract Investors & Fraudulent Activity
2011-09-07:
Amicus Brief Filed on Behalf of Oregon Investors
2011-08-31:
Clients of J. Scott McKee Gathered
2011-08-28:
Grifphon Claims Update
2011-08-25:
Investigation Into Scott McKee Expands
2011-08-18:
Meeting for Quality Financial Group Investors
2011-08-09:
Claim Against Symetra Investment Services Broker for Selling Away
2011-08-05:
Watchdog for the Elderly
2011-07-28:
High Yield Temptation
2011-07-23:
Understanding REIT Risks
2011-07-22:
Apple REITs Under FINRA Investigation
2011-07-21:
File Individual Claims for Apple REITs
2011-07-18:
Our “Superb” Rating from Avvo
2011-07-17:
Become a FINRA Arbitrator
2011-07-17:
$7.8 Million Dollar Jury Verdict for Client
2011-07-12:
Bedrocks Coffee, LLC Investigation
2011-05-27:
Former LPL Financial and Berthel Fisher Broker Under Investigation
2011-04-08:
Exchange with SEC Chair Reported in Sunday’s Oregonian
2011-04-08:
Grifphon Asset Management Under Investigation
2011-04-08:
Office Moves to Wells Fargo Center
2011-03-01:
FINRA Arbitration FAQ
2010-12-10:
Grifphon’s Excuses in the Portland Business Journal
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