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What Is A Fiduciary Duty?

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 […]

IFG Advisor’s Excessive Trading Leads to $2.2 Million in Losses

Investors place a great deal of trust in their financial advisors at IFG, 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 […]

What is Affinity Fraud?

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 […]

Looking For FINRA CRD Expungement? 5 Steps

If you have had a disclosure on your FINRA BrokerCheck, you know how damaging it can be. It can hurt your reputation, job opportunities, and financial future. A disclosure can prevent you from getting a job as a registered representative. This can feel like FINRA is barring you from the industry. But there is hope. […]

What is a Ponzi Scheme and How Does it Work?

Written and reviewed by David Harrison, Partner — Bakhtiari & Harrison Admitted: CA | NY · Super Lawyers 2015–2026 · Former NYC Assistant District Attorney · Former Morgan Stanley In-House Counsel · Series 7 Licensed · Last reviewed: May 2026 A Ponzi scheme is not just a criminal matter — it is an investment fraud […]