Skip to main content

News

Cioffi Fund Hoisted in Vodka With Tannin Began Bear’s Endgame

Bloomberg

Bear Stearns Cos. hedge fund manager Ralph Cioffi raised a vodka toast to his own survival on March 2, 2007, after posting a 0.08 percent loss in one of the subprime mortgage securities portfolios he was managing, according to a federal criminal indictment filed yesterday. “We have our health and families,” Cioffi told fellow portfolio […]

Firms, Not Brokers, Faulted on Auction-Rates

Wall Street Journal

Despite the anger harbored by Main Street investors toward brokers who sold them auction-rate securities, some of the people trying to protect consumers say individual brokers may not be to blame. Instead, some regulators and investors’ lawyers argue, brokerage firms are responsible. The firms had a bird’s-eye view of the now-frozen auction-rate securities market and […]

Investors File Claims Against Bear Stearns

Wall Street Journal

A group of four law firms has filed additional investor arbitration claims against Bear Stearns Cos. and a fund manager alleging the firm was less than candid with investors in one of its hedge funds. “Our investigation indicates that officials at Bear Stearns engaged in a concerted effort to conceal the true state of affairs […]

FINRA Wants Arbitration Claims Against Unnamed Brokers Reported

ADRWorld.com

In order to make more information available to the public and regulators, the Financial Industry Regulatory Authority (FINRA) recently proposed a rule amendment that would require securities brokerage firms to report brokers who allegedly engaged in a sales practice violation but are not named as parties in an arbitration proceedings or a civil lawsuit. The […]

Finra Plan + Auction-Rate Mess = Anxiety

Dow Jones Newswires

A proposed rule meant to improve public disclosure of customer complaints against brokers is making some in the industry nervous about whether a wave of auction-rate securities lawsuits may unfairly blemish brokers’ records. Published last week by the Financial Industry Regulatory Authority, or Finra, the rule would require brokers to include on their records arbitration […]