Tag Archives: Fraud

SEC Charges Emanuel Sarris and His Firm in $30 Million Ponzi Scheme

SEC v. Emanuel L. Sarris, Sr., et al., Case No. 12-cv-04272-TON (N.D. Pa.).  On July 30, 2012, the SEC announced fraud charges against Sarris and his firm Sarris Financial Group, Inc.  (“Sarris Financial”) for their role in a Ponzi scheme … Continue reading

Posted in Securities | Tagged , , , , , | Leave a comment

Federal Jury Clears Former Citigroup Manager Brian Stoker of Fraud Charges

On July 31, 2012, a federal jury found that former Citigroup Manager Brian Stoker was not liable for fraud in connection with the bank’s sale of mortgage-related investments.

Posted in Securities | Tagged , | Leave a comment

SEC Files Settled Offering Fraud Action Against Michael Bodanza

SEC v. Michael A. Bodanza, et al., Case No. 1:12-cv-1954 (N.D. Ohio).  On July 30, 2012, the SEC announced the filing of a settled civil action against Michael Bodanza, the former CFO and founding member of Preferred Financial Holdings Co., … Continue reading

Posted in Securities | Tagged , , , , | Leave a comment

SEC Freezes Assets of Insider Traders in Nexen Acquisition

SEC v. Well Advantage Limited, et al.  The SEC is continuing its pursuit of insider traders, obtaining an emergency asset freeze on traders’ assets.  On July 27, 2012, the SEC filed a complaint against Well Advantage Limited, Certain Unknown Traders … Continue reading

Posted in Securities | Tagged , , , | 2 Comments

SEC Charges Ronald Feldstein for Role in Facilitating Fake Investment in Penny Stock Company

SEC v. Ronald Feldstein.   On July 25, 2012, the SEC filed a complaint against Ronald Feldstein.  The suit stems from the role played Feldstein played in the disclosure of materially misleading information by Interlink-US-Network, Ltd. (“Interlink”) and its officers concerning a … Continue reading

Posted in Securities | Tagged , , , | Leave a comment

SEC Charges Ladislav “Larry” Schvacho With Insider Trading

SEC v. Ladislav “Larry” Schvacho, Case No. 1:12-mi-99999-UNA (N.D. Ga.).  On July 24, 2012, the SEC announced insider trading charges against Larry Schvacho.  Schvacho traded in the common stock of Comsys IT Partners, Inc. (“Comsys”) based on material, non-public information … Continue reading

Posted in Securities | Tagged , , , | Leave a comment

SEC Charges Monouchehr Moshayedi With Insider Trading

SEC v. Monouchehr Moshayedi, Case No. SACV12-1179 (C.D. Cal.)  On July 19, 2012, the SEC announced insider trading charges against Monouchehr Moshayedi in connection with the sale of nine million shares of stock in STEC, Inc. (“STEC”) in August 2009.  Moshayedi is a founder, and … Continue reading

Posted in Securities | Tagged , , , , | Leave a comment

SEC Charges Mizuho Securities USA With Misleading Investors By Obtaining False Credit Ratings for Collateralized Debt Obligation.

SEC v. Mizuho Securities USA Inc., Case No. 12-cv-5550 (S.D.N.Y); In the Matter of Alexander V. Rekeda, Admin. Proc. No. 3-14953; In the Matter of Xavier Capdepon and Gwen Snorteland, Admin. Proc. No. 3-14954; In the Matter of Delaware Asset Advisers … Continue reading

Posted in Securities | Tagged , , , , , , , | Leave a comment

Senators Are Seeking Tougher Penalties For Wall Street

Two U.S. Senators plan to introduce a bill that would increase the fines that the SEC can impose on Wall Street.

Posted in Securities | Tagged , , , | Leave a comment

CFTC Obtains Final Judgment Requiring Gordon A. Driver and His Companies to Pay Over $41 Million in Restitution and Penalties

CFTC v. Gordon A. Driver et al., Case No. SA 09-CV-0578-ODW (RZx) (C.D. Cal.).  Yesterday the CFTC announced a final judgment and permanent injunction order against Gordon A. Driver, Axcess Automation LLC (“Axcess Automation”), and Axcess Fund Management LLC (“Axcess … Continue reading

Posted in Commodities | Tagged , , | Leave a comment