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Articles Posted in FINRA arbitration

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Former Sterne Agee Broker Dean Mustaphalli Alleged to Have Wrongfully Run $6 Million Hedge Fund

The attorneys at Gana Weinstein LLP are investigating claims that former Sterne Agee Financial Services Inc. (Sterne Agee) broker Dean Mustaphalli (Mustaphalli) solicited millions of dollars from investors running to run a $6 million hedge fund on the side without formerly disclosing the activity to his brokerage firm. As reported…

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Securities Watchdog is Actually Asleep At the Wheel

People have joked that securities regulators are asleep at the wheel due to the number of frauds that go unpunished for so long.  However, a recent Bloomberg BusinessWeek article exposed that the phrase is literally true in some cases. Every dispute an investor has with their brokerage firm must be…

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Will I Win My FINRA Securities Arbitration Claim?

One of the most common questions I receive as a FINRA securities attorney is whether or not a client is likely to prevail at a FINRA arbitration hearing.  My first gut reaction, and the one I tell clients, is honestly I just don’t know.  Most clients are puzzled by this…

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FINRA Debates Rule Allowing Matters to Be Referred to Enforcement During Arbitration Cases

A recent InvestmentNews article highlighted a proposed rule change that the Financial Industry Regulatory Authority (FINRA) has proposed to the Securities and Exchange Commission (SEC) that would allow arbitrators to direct cases to FINRA enforcement during the pendency of the case.  FINRA enforcement is responsible disciplining brokers and brokerage firms…

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