Blog
September 3, 2024
Understanding Margin Accounts If you’ve ever delved into the world of trading or investing, you might have heard the term “margin call.” The term may seem scary, but knowing its meaning is important for handling investments and avoiding problems. Let’s break down what a margin call is, how it works, and why it’s important. To […]
September 2, 2024
When you invest money, you trust financial professionals to handle your affairs responsibly. This trust is based on something called a “fiduciary duty.” This means that these advisors must always put your best interests first. The term “fiduciary duty” is often discussed by lawyers who focus on financial matters. It involves both ethical and legal […]
September 1, 2024
Understanding Stockbroker Negligence and FINRA Arbitration Claims Investing in the stock market carries risks. If a stockbroker is negligent, investors can take legal action to recover their losses. But what exactly constitutes stockbroker negligence, and when can you bring a FINRA arbitration claim? Stockbrokers and advisers owe certain duties to clients. Some breaches of the […]
Investors place a great deal of trust in their financial advisors, expecting them to manage accounts responsibly and in their best interest. However, a recent case involving Stewart “Paxton” Ginn, a veteran broker in California, underscores the importance of vigilance in monitoring investment activities. According to a complaint filed on October 17 by the Financial […]
August 31, 2024
Understanding Affinity Fraud: A Threat to Investor Trust and Financial Security In the realm of investment scams, one of the most insidious and damaging forms is affinity fraud. This type of fraud exploits the trust within close-knit communities, leveraging shared characteristics, interests, or beliefs to deceive and manipulate victims. While the financial losses can be […]