Articles Posted in FINRA

SELEWACH SENTENCED TO 8-12 YEARS IN PRISON
InvestorLawyers

Shane Selewach, a former Ameriprise Financial Services Inc. broker, has been convicted of stealing nearly $335,000 from clients and sentenced to 8-12 years in prison for broker misconduct. Selewach’s misconduct includes six counts of larceny, six counts of securities fraud and conducting business as an unregistered broker dealer. Selewach was employed with Ameriprise from September…

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FINRA RULING: EX-BROKER WILLIAM BAILEY SUSPENDED FOR TWO YEARS
InvestorLawyers

William Bailey, a former broker for NEXT Financial Group Inc., was suspended for two years in Financial Industry Regulatory Authority (FINRA) securities arbitration. Bailey’s official cause for suspension, according to FINRA, was “unsuitable and excessive trading of mutual funds and variable annuities.” In addition, Bailey was charged with discretionary trading without prior written approval. Bailey’s…

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THREE INVESTORS WIN $5.5 MILLION FROM NEUBERGER BERMAN
InvestorLawyers

Securities arbitration ended this month for a claim made by three clients against Neuberger Berman. The Financial Industry Regulatory Authority (FINRA) panel ruled on July 15th that Neuberger Berman must pay $5 million in damages, $450,000 in (3 percent annual) interest and $7,500 in legal fees. Investment attorneys stated that the financial award covered the…

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SECURITIES ARBITRATION FILED AGAINST JAMES J. ALBRIGHT, AIG
InvestorLawyers

On July 5, a securities arbitration claim was filed against James J. Albright Jr. and what was formerly known as AIG Financial Advisors. Claims were made on behalf of eight individuals against Albright and what is now Sagepoint Financial Inc., but more slighted customers are expected to come forward. The claim states that Albright recommended…

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