Articles Posted in SEC Enforcement Actions 2012

Thomas C. Conradt and David J. Weishaus – West Palm Beach, Florida Securities and Investment Fraud (Call Option) FINRA Arbitration and Litigation Attorney
Russell L. Forkey

SEC Charges Two Brokers With Insider Trading Ahead of IBM-SPSS Merger for $1 Million Profit The Securities and Exchange Commission recently charged two retail brokers who formerly worked at a Connecticut-based broker-dealer with insider trading on nonpublic information ahead of IBM Corporation’s acquisition of SPSS Inc. The SEC alleges that Thomas C. Conradt learned confidential…

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Joseph J. Hennessy and Resources Planning Group – South Florida Investment Fund and Private Equity Fraud and Mismanagement FINRA Arbitration and Litigation Attorney
Russell L. Forkey

SEC Charges Chicago-Based Investment Adviser With Defrauding Investors in Failing Private Equity Fund The Securities and Exchange Commission recently charged a Chicago-based investment adviser and his firm with defrauding clients and others who were promised returns that would “beat the market” for investing in a private equity fund they managed. What investors didn’t know was…

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Joseph P. Cillo – Dade City and Tampa, Florida Penny Stock and Reverse Merger Fraud and Misrepresentation FINRA Arbitration and Litigation Attorney
Russell L. Forkey

SEC v. Joseph P. Cillo: The Securities and Exchange Commission (“Commission”) recently announced that the Honorable James D. Whittemore, United States District Judge for the Middle District of Florida in Tampa has entered final judgment against defendant Joseph P. Cillo (“Cillo”) of Dade City, Florida. The judgment permanently enjoins Cillo from further violations of Section…

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Anand Sekaran – Boca Raton, Florida Broker/Dealer and Investment Advisor Fraud and Misrepresentation FINRA Arbitration and Litigation Attorney
Russell L. Forkey

In the Matter of Anand Sekaran: On November 30, 2012, the Commission issued an Order Instituting Administrative Proceedings Pursuant to Section 15(b) of the Securities Exchange Act of 1934 and Section 203(f) of the Investment Advisers Act of 1940, Making Findings, and Imposing Remedial Sanctions (Order) against Anand Sekaran (Sekaran). On November 26, 2012, the…

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Arnett L. Waters – South Florida Broker/Dealer and Investment Advisor Fraud and Misappropriation FINRA Arbitration and Litigation Attorney
Russell L. Forkey

Defendant in SEC Action Pleads Guilty to Criminal Charges and is Barred from the Securities Industry The Securities and Exchange Commission recently announced that Arnett L. Waters of Milton, Massachusetts, a principal of a broker-dealer and investment adviser who is a defendant in a securities fraud action filed by the Commission in May 2012, has…

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Timothy S. Durham, Rick D. Snow and James F. Cochran – Florida Securities and Investment Fraud and Theft FINRA Arbitration and Litigation Attorney
Russell L. Forkey

Former Fair Finance Company CEO Sentenced to 50 Years in Prison for Conducting $200 Million Fraud Scheme The Securities and Exchange Commission (Commission) announced that on November 30, 2012, Timothy S. Durham, former CEO of Ohio-based Fair Finance Company (Fair Finance), was sentenced to 50 years in prison for orchestrating a $200 million scheme that…

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John Lazorchak, Mark S. Cupo, Michael Castellim Michael T. Pendolino, Mark D. Foldy, James N. Deprado and Lawerance Grum – Securities and Investment (Public and Private) Fraud and Misrepresentation FINRA Arbitration and Litigation Attorney
Russell L. Forkey

The Securities and Exchange Commission recently charged three health care company employees and four others in a New Jersey-based insider trading ring of various high school friends generating $1.7 million in illegal profits and kickbacks by trading in advance of 11 public announcements involving mergers, a drug approval application, and quarterly earnings of pharmaceutical companies…

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MassMutual – South Florida Annuity and Insurance Fraud and Misrepresentation FINRA Arbitration and Litigation Attorney
Russell L. Forkey

MassMutual to Pay $1.625 Million after SEC Investigation Highlights Prior Insufficient Disclosures about Annuity Product MassMutual Changes Product Before Any Investors Harmed The Securities and Exchange Commission recently charged Massachusetts Mutual Life Insurance Company with securities law violations for failing to sufficiently disclose the potential negative impact of a “cap” it placed on a complex…

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BP p.l.c. – Florida Limited Partnership Oil and Gas Fraud and Misrepresentation Litigation Attorney
Russell L. Forkey

SEC v. BP p.l.c., Case No. 2:12-cv-02774 (E.D. La. Nov. 15, 2012). BP TO PAY $525 MILLION PENALTY TO SETTLE SEC CHARGES OF SECURITIES FRAUD DURING DEEPWATER HORIZON OIL SPILL The Securities and Exchange Commission recently charged BP p.l.c. with misleading investors while its Deepwater Horizon oil rig was gushing into the Gulf of Mexico…

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Residential Mortgage-Back Securities (RMBS) – Florida Securities Offering Fraud and Misrepresentation FINRA Arbitration and Litigation Attorney
Russell L. Forkey

Securities and Exchange Commission v. J.P. Morgan Securities LLC, EMC Mortgage, LLC, Bear Stearns Asset Backed Securities I, LLC, Structured Asset Mortgage Investments II, Inc., SACO I, Inc., and J.P. Morgan Acceptance Corporation I, Civil Action No. 1:12-cv-01872 (RLW) (D.D.C. filed Nov. 16, 2012) SEC CHARGES J.P. MORGAN SECURITIES LLC WITH MISLEADING INVESTORS IN RMBS…

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