Epperson & Greenidge LLP
Free Consultation:(877) 445-9261
  • Home
  • About Us
    • Dietrich P. Epperson
    • Andrew M. Greenidge
  • Practice Areas
    • Broker Breach of Contract
    • Financial Negligence
    • FINRA Arbitration
    • Fraud & Identity Theft
    • Omission
    • Ponzi Schemes
    • Trade Churning
    • Unauthorized Trades
    • Unsuitable Investments
  • Testimonials
  • Legal Blog
  • Contact Us
Select Page

Did you lose money on ATEL funds bought on the recommendation of a broker or adviser?

by dpepperson | Feb 11, 2019 | Uncategorized

ATEL Capital group has carved out a niche for itself connecting companies with equipment. And because every business needs some type of equipment—from Internet routers and office desks to airplanes—their funds may look like a safe way to make some money....

Epperson & Greenidge is investigating GPB Capital’s private placements and how they were sold.

by dpepperson | Feb 11, 2019 | Uncategorized

Recent Updates: As reported by Investment News on June 17, Fidelity Investments is telling broker dealers that they must move GPB private placements off its platform within 90 days or work with its custodian and assist them to obtain a clear valuation of the...

Did you lose money because a broker or adviser recommended Wheeler Real Estate Investment Trust?

by dpepperson | Jan 31, 2019 | Uncategorized

Of the hundreds of publicly traded Real Estate Investment Trusts (REITs), one stands out for its abysmal performance: Wheeler Real Estate Investment Trust (NASDAQ: WHLR).  The tumult this REIT has experienced has made it particularly toxic for risk-averse...

New report targets investments that bring out the worst in financial advisers and stockbrokers

by dpepperson | Dec 21, 2018 | Uncategorized

A new report highlights the ways some investment and brokerage firms fail to act in their clients’ best interests and so increase the risks of steep financial losses. Specific financial products — complex and risky investments such as nontrading REITs,...

Did your stockbroker or financial adviser lose your money by recommending CBL stock?

by dpepperson | Dec 3, 2018 | Uncategorized

As malls dwindle, so has the stock price of CBL & Associates Properties, Inc. (NYSE: CBL) Shoppers are skipping the mall, and stores that were once mall mainstays—Sear’s, for instance—are closing for good. Even with clear warning signs on the...

FINRA Rule 2010 – the “catch all” provision for broker misconduct

by dpepperson | Nov 7, 2018 | Uncategorized

What is FINRA Rule 2010? FINRA Rule 2010 is a broad, sweeping rule that is utilized to address misconduct that is not directly addressed by another FINRA rule. The rule is centered around the use of ethical business practices by brokers and financial institutions....
« Older Entries
Next Entries »

Search

Recent Posts

  • Did your financial advisor invest your money in Broadstreet????
  • Did You Ask Your Financial Advisor for Safe Investments, But Instead Your Investment Advisor Put You in a Bad Investment??????
  • Can’t Get Your Money Out of an Investment??????
  • Do You Have Significant Losses in Your Portfolio Because Your Financial Advisor Told You to Buy a Bad Stock or Suggested a Bad Investment???
  • Have you suffered significant financial harm due to the purchase of a premium-financed universal life insurance policy?

Recent Comments

    Archives

    • January 2025
    • December 2024
    • November 2024
    • October 2023
    • August 2023
    • May 2023
    • May 2022
    • February 2022
    • July 2020
    • June 2020
    • May 2020
    • September 2019
    • May 2019
    • March 2019
    • February 2019
    • January 2019
    • December 2018
    • November 2018
    • October 2018
    • September 2018
    • August 2018
    • July 2018
    • June 2018
    • May 2018
    • April 2018
    • March 2018
    • February 2018
    • January 2018
    • December 2017

    Categories

    • Uncategorized

    Meta

    • Log in
    • Entries feed
    • Comments feed
    • WordPress.org

    Who we help

    We help clients who were deceived or misled by their financial planner, investment advisor, or broker fight for financial recovery.

    People who have lost money on their investments or with underperforming portfolios

    People who hired the wrong Financial Advisor

    Victims of suspicious investments

    If you are unsure about whether your claim is eligible for FINRA arbitration, contact Epperson & Greenidge, so that a securities litigation attorney can help you explore your legal options.

    Call (877) 445-9261 now to schedule a free consultation. If you feel more comfortable contacting us via email please complete this form and we’ll get back to you shortly.

    • This field is for validation purposes and should be left unchanged.

    • Home
    • Legal Blog
    • Attorney Profiles
    • Practice Areas
    • Contact
    • Resources

    Disclaimer: Past client results listed on this website are not typical and do not indicate the outcome for any case.
    © Copyright 2020 Epperson & Greenidge, P.A., All rights reserved.

    Contact
    (877) 445-9261
    Email Us

    Investigate Your Broker

    Legal Marketing by