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Blog Posts in March, 2019

Wedbush Pays $250k to Settle Supervision Failure Charge for SoCal Rep Timary Delorme's Pump-and-Dump Fraud

The SEC censured and ordered Wedbush Securities to pay a $250,000 penalty for failing to supervise broker Timary Delorme in Wedbush's Los Angeles office. In the twilight of her 40-year career with ...
Continue reading "Wedbush Pays $250k to Settle Supervision Failure Charge for SoCal Rep Timary Delorme's Pump-and-Dump Fraud" »

Sigma Financial Sanctioned for Deficient Non-Traditional ETF Supervisory System

FINRA fined Sigma Financial Corporation $100,000 for failing to establish, maintain, and enforce adequate an supervisory system and procedures related to the sales of leveraged, inverse, and ...
Continue reading "Sigma Financial Sanctioned for Deficient Non-Traditional ETF Supervisory System" »

SEC Joins FINRA in Barring Arrested WF Broker John Schmidt over Elder Fraud

Two months after his arrest for fraud and forgery in an alleged Ponzi scheme targeting "particularly vulnerable" clients, including elderly investors and those with diminished mental ...
Continue reading "SEC Joins FINRA in Barring Arrested WF Broker John Schmidt over Elder Fraud" »

Emanuel Avina Sanctioned for Impersonating Ameriprise Customers

FINRA fined and suspended former Ameriprise Financial Services broker Emanuel Omar Avina for impersonating several customers out of Ameriprise's City of Industry, California branch in phone calls ...
Continue reading "Emanuel Avina Sanctioned for Impersonating Ameriprise Customers" »
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The Law Offices of Jonathan W. Evans & Associates - California Securities Fraud Attorney
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