Articles Posted in Securities Fraud

Does Your Broker Have Your Best Investment Interests in Mind?
Savage Villoch Law, PLLC

When you entrust the the management of your investment portfolio to a broker, that’s a big deal. If you are going to ask someone to assist you in managing your financial future, you are going to want to know that they have your best investment interests at heart. The relationship between you and your broker…

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6 Ways That May Help You Recover Investment Losses After Securities Fraud
Savage Villoch Law, PLLC

As an investor, risks are things you have to take into account. Before every investment decision, you need to assess potential risks and recognize ways to mitigate them. While its true that some securities and assets may have more associated risks than others, there is one they all share: the risk of fraud. However, while…

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The Fiduciary Rule is Dead – Here's What It Means for Your Retirement Planning
Savage Villoch Law, PLLC

The Fiduciary Rule is Dead! Long Live the Fiduciary Rule! Well… it didn’t get quite such a commemorative send-off. In fact, it got the sort of ignominious sentence fit for a mongrel animal or a disowned family member. Yes, the Department of Labor (DOL)’s fiduciary rule is dead and it doesn’t look like we’ll be…

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Senior Investor Alert: 5 Easy Ways to Spot Scams Targeting Your Nest Egg
Savage Villoch Law, PLLC

If you’re a senior investor, you’ve likely been planning and saving for years to build your portfolio. You have rightfully earned everything you have accrued over the years and you deserve to realize the fruits of that labor in your golden years. Unfortunately, your nest egg marks you as a target for investment fraud. Scammers…

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Protecting Your Investments Against Affinity Fraud
Savage Villoch Law, PLLC

In a recently filed complaint,The SEC charged a prominent pastor in a scheme to defraud investors out of millions of dollars. Using his religious clout and reputation, the pastor leveraged investments out of devoted followers, mainly elderly. Between 2013 and 2014, the SEC alleges that Kirbyjon Caldwell, Pastor of the Windsor Village Methodist Church and…

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Wells Fargo’s Wealth-Management Business Under Scrutiny
Savage Villoch Law, PLLC

Industry watchdogs turn their focus on Wells’ wealth-management services It seems that we may not have yet seen the end of the Wells Fargo accounts scandal. The Justice Department has taken an increased interest in Wells Fargo’s wealth-management unit following whistle-blower claims that the bank’s wealth-management customers have been affected. According to a Wall Street…

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My Big Co(i)n: Cryptocurrency Scams Play on Same Old Tricks
Savage Villoch Law, PLLC

Bitcoin – Big Coin – Bitcoin – Big Coin… Read that over a few times. Are those two words beginning to sound similar? That’s what the founders of My Big Coin, Inc. were hoping when they created their cryptocurrency investment offering. The Nevada-based company has been accused of defrauding investors hoping to cash-in on the…

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Top Investor Tips for 2017
Savage Villoch Law, PLLC

Investor Tips: A Year in Review With a new year upon us, we thought we’d look back at the most popular questions investors have been asking over the past year. Here are the most popular investor tips for 2017: Initial Coin Offerings (ICOs) ICOs made a big splash in 2017. With the Bitcoin boom and…

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With Cordray’s Resignation, What’s Next for the CFPB?
Savage Villoch Law, PLLC

This week, Richard Cordray handed in his resignation as head of the Consumer Financial Protection Bureau (CFPB). The early resignation comes at a time of increased criticism over current financial regulations and an uncertain outlook for many regulatory bodies. The CFPB especially, has been subject of intense criticism from the financial industry as overbearing and…

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