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A National Securities Arbitration & Investment Fraud Law Firm

Articles Posted in Current Investigations

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1st Global Capital Bankruptcy Affects Investors in Knoxville, TN

Do you live in Knoxville, Tennessee? Have you invested or lost money with 1st Global Capital? 1st Global Capital has recently filed for Chapter 11 Bankruptcy after investigations alleging sales of unregistered securities, sales of securities by unregistered brokers, and other acts of fraud in connection with the sales of…

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Silver Law Group Investigates Perry Santillo Jr. of High Point Wealth Management

Silver Law Group continues to investigate Perry Santillo Jr. (“Santillo”), founder and chief executive of High Point Wealth Management. According to a recent Investment News article, Santillo was barred by Maryland regulators for “dishonest and unethical trade practices,” that included selling unregistered securities by fraudulent means. Santillo allegedly solicited clients…

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Silver Law Group is Representing Investors in the $102 Million First Nationle Solution, LLC Ponzi Scheme

On June 19, 2018, the Securities and Exchange Commission (the “SEC”) shut down a $102 million Ponzi scheme and charged five (5) individuals and three (3) businesses with various securities laws violations. The massive Ponzi scheme’s alleged orchestrators were all formerly registered with FINRA and employed by FINRA-registered firms, according…

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Silver Law Group Investigates Barry Kornfeld and First Financial Tax Group for the Sale of Woodbridge Products to Retirees

Silver Law Group is investigating claims related to Barry Kornfeld and First Financial Tax Group for the sale of investment products issued by the Woodbridge Group of Companies as safe alternatives for income seeking retirees. Barry Kornfeld (“Kornfeld”) is the owner of First Financial Tax Group in Boca Raton, FL…

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Mack L Miller, Dawson James Securities

Mack L. Miller CRD#2822317 Silver Law Group is investigating New York, New York-based former Dawson James Securities Broker Mack L. Miller after multiple clients filed FINRA complaints alleging misrepresentation and excessive trading in client accounts. According to FINRA’s BrokerCheck report on Miller, a FINRA complaint alleging misrepresentation and excessive trading…

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Silver Law Group Warns Investors about Alternative Investments

If you’re investing in an instrument other than traditional stocks, bonds, or cash, then you’re investing in an alternative. In the current low-interest rate environment, many retail investors are allocating a greater portion of their portfolio to alternatives in search of higher yield. It is also common for investors to…

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