2020 FINRA Priorities Letter
Each year, FINRA publishes its Annual Regulatory and Examination Priorities Letter to highlight issues of importance to FINRA’s...
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Each year, FINRA publishes its Annual Regulatory and Examination Priorities Letter to highlight issues of importance to FINRA’s...
Each year, FINRA publishes its Annual Regulatory and Examination Priorities Letter to highlight issues of importance to FINRA's...
Since 2010, the Securities and Exchange Commission (SEC) has brought more than 100 enforcement actions against nearly 200 individuals...
Many of the items found on the Securities and Exchange Commission’s annual list of examination priorities for the new year echo...
Non-traded REITs, elder fraud, complex structured products, private placements and other alternative investments will be among...
Following abysmal deals involving non-traded real estate investment trusts (REITs) and fraudulent private placement offerings...
(On Jan. 23, from 1-2 p.m. EST, Mark Maddox of Maddox Hargett & Caruso P.C. will be a featured guest on NPR/WFYI's No Limits...
A top independent broker/dealer has been ordered to pay a $6.2 million arbitration award to two Minnesota investors in a claim...
The question on many investors’ minds these days is why advisers with UBS Financial Services of Puerto Rico recommended municipal...
Peter David Schiff is a respected author and frequent financial commentator. He’s also the founder and CEO of Euro Pacific Capital,...
In the latest issue of the Indianapolis Business Journal, I’ve written an article on how the financial services industry...
A recent article in the Wall Street Journal reports on the financial woes facing Puerto Rico over its troubled bond deals...
Big bets on Puerto Rican debt has sent the value of the Oppenheimer Rochester Virginia Municipal Bond Fund (ORVAX) reeling. As...
Maddox, Hargett & Caruso P.C. currently is investigating potential claims on behalf of investors against UBS Puerto Rico for...
A group of proprietary closed-end bond funds created by UBS and which were heavily invested in Puerto Rico municipal debt is plummeting...
Morgan Stanley & Co., LLC has agreed to pay $100,000 to the New Jersey Bureau...
Investment fraud is big business - and senior investors are unfortunately prime targets. Scammers often single out seniors for...
Trading at the NASDAQ stock exchange came to a screeching halt on Thursday afternoon, following what is being called a "technical...
Complex investments like non-traded REITs, structured notes and private placements are increasingly capturing the attention of...
An Aug. 8 article by Reuters reports that the Financial Industry Regulatory Authority (FINRA) may be stepping up efforts...
An Illinois investor named Sergio Alvarado was recently awarded nearly $750,000 in damages following a dispute with his brokerage...
Timing is critical - something Reid Hospital & Health Care Services knows first hand. In 2011, the Richmond, Indiana, hospital...
Massachusetts Secretary of the Commonwealth William F. Galvin has subpoenaed 15 brokerage firms as part of a new investigation...
Five-time Major League baseball player Mike Sweeney is suing UBS Financial Services and his former broker, Ralph A. Jackson III,...
LPL Financial has more than 13,000 brokers, 6,500 offices and some 4.3 million customers. It’s also got a lengthy list of issues...
Alternative, or “alt funds,” are not your typical mutual fund. As reported June 11 by USA Today, the past three years...
Synthetic collateralized debt obligations (CDOs). They’re those risky, complex financial products that many blame for causing...
Maddox Hargett & Caruso, P.C. regularly reviews the Broker Check Web site of the Financial Industry Regulatory Authority (FINRA)...
Five independent broker/dealers will pay $8.6 million in restitution to investors, as well as fines of $975,000, as part of settlements...
Alternative investments continue to garner the wrath of regulators and more trouble for broker/dealers. Last week, the Financial...
Elder investment fraud is big business. Every year, fraudsters scam older Americans out of billions of dollars. What makes the...
Three years ago, on July 21, 2010, President Obama signed into law the Wall Street Reform and Consumer Protection Act or, as it's...
The number of bond funds that own stocks has increased dramatically - and could be yet another sign of investors’ willingness...
Medical Capital Holdings investors who lost millions of dollars in a failed private-placement deal that turned out to be a Ponzi...
A number of lawmakers want an end to mandatory arbitration clauses in brokerage contracts and are calling on the Securities and...
As investors grow increasingly leery of bonds and the potential increase in interest rates, many are turning to alternative investment...
A Los Angeles Financial Industry Regulatory Authority arbitration panel has ordered MML Investors Services, LLC - which is part...
When it comes to investing your money, it’s hard to know whom to trust. That’s especially true for older Americans. A new...
Four top DBSI executives - Douglas Swenson, Mark Ellison and two sons of Swenson, David and Jeremy - were indicted this week by...
A year ago, investors in a UBS sponsored closed-end fund called the Willow Fund learned that the fund - which had assets of nearly...
LPL Financial may be rapidly expanding its business model, but it no doubt could do without some of the attention it is receiving...
Broker Jeffrey Rubin has been barred from the securities industry after leading 31 NFL players to invest in a controversial Alabama...
The economy may be improving, but there’s a new fear on the horizon for many investors: A bond market crash. As reported March...
In 2012, 220 variable annuity claims were filed by investors with the Financial Industry Regulatory Authority (FINRA) - an 8%...
The Securities and Exchange Commission (SEC) is warning investors that it has found “significant deficiencies” in the way...
Medical Capital Holdings, the company...
Every day, crimes involving elder investment...
Fraudulent sales practices of broker/dealers, alternative investments, elder financial abuse, private placements, unsuitable recommendations...
Let's hope this never happens to you: You have a few free minutes so you decide to go online to check your brokerage account information....
In recent years, retail investors have been pouring money into alternative investments by the droves. From 2008 to 2009, that...
Citigroup and a group of failed fixed-income alternative funds known as ASTA/MAT are back in the news courtesy of Jack Lew, President...
Crimes involving elderly victims...
A recent article in the Wall Street Journal underscores the often unforeseen impact of equity-linked structured products...
The “retailization” of hedge funds has made it easier for unsophisticated investors to invest directly in the products and,...
It sounds like an investor’s dream investment: You get 150% of the upside of the stock market but only 90% of the downside....
Maddox Hargett & Caruso, P.C. is investigating claims on behalf of investors who contend they were misguided by Ameriprise...
Maddox Hargett & Caruso, P.C. announces the initiation of an investigation into the sales practices of LPL Financial, LLC...
Sales abuses tied to non-traded real estate investment trusts, or REITs, have become increasingly front and center for the...
Exchange-traded notes. 1861 Capital Management Funds. Rochester Municipal Bond Fund. LPL Financial. Morgan Keegan. Tim Durham....
Maddox Hargett & Caruso, P.C. is continuing its investigation into the sales practices of broker/dealers that recommended...
LPL Financial LLC, the largest independent U.S.broker/dealer by revenue, has been accused by Massachusetts securities watchdog...
Investment scams are a booming business, and no one is more vulnerable than the elderly. In 2011, elder financial abuse resulted...
The murky world of crowdfunding is creating growing concerns among securities regulators and investor advocates for its apparent...
A Cincinnati man who conned Indiana investors out of more than $3 million has received a 40-year prison sentence for his role in...
For more than a year, whistleblowers throughout United States and the world have been coming forth with inside information regarding...
An Oct. 14 article by Investment News highlights a growing trend in the investment world: Brokers who do double duty...
As reported Nov. 6 by Reuters, Morgan Stanley is trying to stop a securities arbitration case filed by a Facebook investor...
For some time now, municipal bonds have been synonymous with conservative, safe investments. But that presumption may be changing...
The Financial Industry Regulatory Authority (FINRA) is opening up its arbitration system to include registered investment advisers...
Nationally syndicated California radio talk-show host Raymond J. Lucia Sr. is garnering more than potential listeners these days;...
The Securities and Exchange Commission (SEC) has charged Advanced Equities Inc. and its founders - Dwight Badger and Keith Daubenspeck...
One of the industry’s largest non-traded real estate investment trusts (REITs) - Behringer...
An arbitration panel of the Financial Industry Regulatory Authority (FINRA) has ruled that Citigroup Global Markets Inc. must...
As reported by Bloomberg on Friday, August 3, 2012, in footnote 22 to the financial statements for its Form 10-Q for the second...
Older Americans are perhaps the most vulnerable targets of investment fraud, losing more than $3 billion every year to various...
An arbitration panel of the Financial Industry Regulatory Authority (FINRA) has awarded an investor $1.9 million in a case involving...
Investments in Tenant-in-Common (TIC) 1031 Exchanges have turned sour for more investors, many of whom are retirees who purchased...
Bernie Madoff and his $65 billion fraud may have made modern-day Ponzi schemes front-page news, but it did little to eradicate...
Financial fraud is the fastest-growing form of elder abuse - and one that aging experts and regulators alike predict will become...
Research shows that the ability to make sound financial decisions lessens with age, as dementia and other types of mental impairment...
Elder financial fraud does not discriminate. It targets potential victims anywhere in the U.S., in metropolitan cities and small...
JPMorgan Chase & Co. $2 billion trading loss is now reportedly the subject of a criminal probe by the U.S. Department of Justice...
Investors who own shares in some non-traded real estate investment...
Non-traded real estate investment trusts (REITs) have become a controversial investment - and apparently growing more so by the...
Many non-traded real estate investment trusts (REITs) have become...
Financial fraud against the elderly is growing, and it’s a new reality for many baby boomers and their aging parents. A new...
Regulators are taking JPMorgan...
A new piece of legislation called Jumpstart Our Business Startups, or JOBS Act, may have good intentions but could wind up harming...
Exchange-traded notes (ETNs) are a new source of concern for investors, following the recent plunge of two ETNs. Barclays iPath...
The recent news of Indianapolis Colts football player Dwight...
When a financial advisor with Oxford Financial failed to execute a sale involving securities investments worth millions of dollars...
Divorces usually come at a cost - and a potentially bigger one if a variable annuity is involved. Variable...
The recent fraud conviction of R. Allen Stanford comes amid a congressional hearing pitting the Securities and Exchange Commission...
The Securities and Exchange Commission (SEC) has just issued a risk...
The Financial Industry Regulatory Authority (FINRA) isn’t impressed by Charles Schwab Corp.’s efforts to try and get a federal...
There’s no shortage of unscrupulous financial brokers who are willing and able to con investors out of their money with so-called...
The real estate bust has taken a toll on tenant-in-common investments, and no one knows this better than some of the broker/dealers...
A turbulent economy often sends investors searching for alternative investments that offer promises of significant yield. Sometimes,...
Besides their higher-than-average risks and inherent complexity, non-traded...
A new study from Securities Litigation and Consulting Group (SLCG) investigates the subject of “warehousing” loans and the...
Financial fraud - including investment, Internet and credit card scams - is on the rise, and the targeted victims are increasingly...
Broker/dealer Capital Financial Holdings has come up with a novel idea to stay financially afloat: go to a network of pawn shops...
Like a number of non-traded real estate investment trusts (REITs), Behringer...
Minneapolis attorney R.J. Zayed, who also is the appointed receiver responsible for helping victims recover assets lost in a $194...
Out with the old and in with the new. For many investors, 2011 was a year of lessons learned as a number of financial products...
Some familiar and some not-so-familiar names, topics and trends became prime fodder for securities-related fraud in 2011. Among...
The myth that non-traded REITs are safe investment vehicles is just that - a myth. In reality, non-traded REITs are high-risk,...
Investors of any age can become a victim of financial fraud at the hands of unscrupulous investment advisers or scam artists,...
A combination of a volatile stock market and plunging home sales is a fraud scammer’s paradise, creating a prime opportunity...
Another broker/dealer is closing up shop. Pacific West Securities will make its exit 2012, joining some 20 other broker/dealers...
Soured deals involving private placements in Medical Capital Holdings, Provident Royalties and DBSI, Inc., have come back to haunt...
A recent $300,000 fine against the Wells REIT is raising red flags among investors and regulators alike regarding the risks of...
It’s the latest Wall Street “whodunit,” as regulators and the FBI search for $600 million in missing customer cash from...
Citigroup is no stranger to accusations of fraud. It’s faced such charges five times since 2003 when the Securities and Exchange...
The Occupy Wall Street movement has shed much-needed light on the fact that big banks have never been held properly accountable...
An Oct. 23 article by Investment News highlights the potential problems caused by mutual funds that tout the term “absolute...
Citigroup will pay $285 million as part of a deal with the Securities and Exchange Commission (SEC) to settle civil fraud charges...
Private placements in Provident Royalties have caused the demise of yet another broker/dealer. Florida-based Boogie Investment...
Elder financial abuse is a rarely talked epidemic that claims billions of dollars each year from its victims. No one is immune...
Many Americans have been forced to put their retirement dreams on hold in recent years - their benefits essentially “robbed”...
Elder financial abuse is one crime that just keeps getting bigger. Every year, financial abuse costs older Americans more than...
Exchange-traded funds (ETFs) are again back in the news. This time it’s their connection to the $2 billion in losses that incurred...
Risk, risk, risk…that’s the reason why a growing number of broker/dealers say they are cutting back on sales of non-traded...
UBS CEO Oswald Gruebel resigned on Saturday over fallout from the $2.3 billion loss that occurred in an alleged trading scandal...
Bank of America structured note sales have fallen to their lowest level since at least January 2010, following concerns by investors...
Doomed investments in private placements connected to Provident...
Complex and often risky investments such as private...
The Ohio Public Employees Retirement System and the State Teachers Retirement System of Ohio are asking a federal judge to throw...
What is new on the auction-rate securities (ARS) front? Plenty. For one, investors still hoping to win back part of the $330 billion...
Reverse convertible notes are at the center of a sweep examination conducted by the Securities and Exchange Commission (SEC) into...
Auction-rate securities holders may have reason to smile. A new legal brief from the Securities and Exchange...
Apple REITs, sold by David Lerner & Associates, are causing investors to stay awake at night. The non-traded illiquid real-estate...
Non-traded real...
Morgan Keegan is up for sale, according to news reports from both the Wall Street Journal and the New York Times....
Failed deals involving private placements in Provident Royalties are now dogging National Financial Services, a unit of Fidelity...
The list of independent broker/dealers closing up shop over failed private placements in Medical Capital Holdings and Provident...
Neal Smalbach was fired in 2008 by a broker/dealer for selling securities while unregistered. It was the second time that a securities...
Securities America and other broker/dealers that sold private placements in Medical Capital Holdings are now facing even more...
Failed deals involving private placements in Medical Capital Holdings and Provident Royalties are yielding calls from regulators...
A legal rarity occurred recently concerning investor lawsuits and arbitration claims over private placements in Provident...
Waco, Texas-based Life Partners Holdings, which buys life-insurance policies at a discount and then sells shares to investors,...
An Indiana Financial Industry Regulatory Authority (FINRA) arbitration panel recently ruled against Merrill Lynch, Pierce, Fenner...
Ongoing legal battles and arbitration claim losses over private placements in Medical...
Yet another broker is facing the wrath of the Securities and Exchange Commission (SEC) over sales of private placements in Provident...
Born out of the financial engineering of Wall Street, structured products are a buzzword in the investment world. Structured investment...
A precedent-setting arbitration award against...
On Dec. 3, 2010, the Financial Industry Regulatory Authority (FINRA) filed a complaint against Pinnacle Partners Financial Corp....
The parent company of broker/dealer Securities...
Apparently a potential $200 million settlement between Securities...
Private placements tied to issuers like Medical Capital Holdings and Provident Royalties have caused a firestorm of lawsuits and...
Private-placement deals in Medical Capital Holdings...
Reverse-convertible notes are once again making headlines. This time, it’s the Financial Industry Regulatory Authority (FINRA)...
The North American Securities Administrators Association (NASAA) has leveled stinging criticism at a federal judge and his decision...
Securities fraud lawsuits are growing - in part because of the involvement of the Securities and Exchange Commission (SEC). As...
Proposed class action settlements involving Securities America and private-placement sales of Medical Capital Holdings and Provident...
Independent broker/dealers that sold private placements Medical Capital Holdings and Provident Royalties LLC - both of which were...
Fair Finance's bankruptcy trustee Brian Bash filed a lawsuit on Feb. 15, accusing disgraced businessman Tim Durham of perpetrating...
The trustee in charge of liquidating the business dealings of Bernie Madoff says JPMorgan Chase & Co. had long suspected that...
Securities fraudsters take note: State and federal regulators are watching you. Crimes involving securities fraud have skyrocketed...
It’s been almost a year since a bankruptcy...
Illinois’ underfunded pension fund is now facing scrutiny by the Securities and Exchange Commission (SEC), which has launched...
Following the 2008 takeover of mortgage giants Fannie...
First it was private-placement sales involving Medical...
A recent $1.2 million investor award involving Securities...
The Peoples State Bank of Ellettsville says it was misled by Stifel...
The new year has not been kind to Securities...
William Harrison and Eddie Sawyers are entering the new year facing securities fraud charges. On Dec. 17, the Securities and Exchange...
Stockbrokers in the state of Missouri may want to reconsider who’s on the receiving end of their cold calls. Recently, Missouri...
Accounting giant Ernst & Young has been accused by New York Attorney General Andrew Cuomo of deceiving the public about the...
Bank of America’s recent $137 million deal with federal regulators for its alleged role in a nationwide bid-rigging conspiracy...
In recent weeks, Wall Street banks have come under fire from regulators over sales of collateralized...
First it was Abacus CDOs, and...
Wall Street couldn’t prevent an overhaul of the financial industry, but it’s doing all it can to influence how regulatory...
Following the Medical Capital Holdings debacle and...
A group of Singapore investors are crying foul at Morgan...
The number of arbitration claims involving non-traded real estate investment trusts (REITs) is growing, with investors alleging...
Sales of structured investment products are bigger than ever. The problem is many brokers are selling structured...
Investors who file arbitration claims against a broker or investment firm may soon have the option of getting their case heard...
Investor complaints about leveraged...
Thorntons Law LLP, which provides investment advice to customers under the brand name, Thorntons Investment Services, and one...
New York insurance regulators are joining ranks with Connecticut’s insurance commissioner to determine if The Hartford made...
Structured notes may soon be the “next investment bubble” on Wall Street, according to some analysts. The products, which...
Fannie Mae and Freddie Mac were supposed to make the American Dream of home ownership an affordable reality for millions of hard-working...
Denver has a derivative problem - a big one. In 2008, Denver’s public school system sought the assistance of JPMorgan Chase...
When the Denver public school system needed to eliminate a $400 million pension gap, it turned to JP Morgan Chase and the bank’s...
Morgan Stanley, Credit Suisse Group and other brokerages are reportedly facing questions from the Financial Industry Regulatory...
The Financial Industry Regulatory Authority (FINRA) has levied a $7.5 million fine against Deutsche Bank Securities for allegedly...