Tag Archives: Securities Exchange Act

SEC Charges Fund Manager for Secretly Diverting Funds to His Own Companies

SEC v. Mark F. Spangler and The Spangler Group, Inc., Case No. 2:12-cv-00856 (D. Wash.).  On May 17, 2012, the SEC announced that it filed an action against Mark Spangler, a former chairman of the National Association of Personal Financial … Continue reading

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

SEC Charges Recidivist in $35 Million International Boileroom Scheme

SEC v. Nicholas Louis Geranio, et al., Case No. CV-12-4257-DMG (JCx) (C. D. Cal.).  On May 16, 2012, the SEC announced that it filed an action against SEC recidivist Nicholas Louis Geranio, Keith Michael Field, The Good One, Inc. and … Continue reading

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

SEC Settles Regulation FD Case Against Former CEO of Presstek, Inc. for $50,000 Civil Monetary Penalty

EC v. Presstek, Inc. and Edward J. Marino, Case No. 1:10-cv-10406 (D. Mass.).  On May 15, 2012, the SEC announced that Edward J. Marino agreed to settle the SEC’s charges that he aided and abetted Presstek’s violations of Section 13(a) … Continue reading

Posted in Securities | Tagged , | Leave a comment

SEC Files Litigated Action Against China Natural Gas, Inc. and Its Chairman and Former CEO

SEC v. China Natural Gas, Inc. and Qinan Ji, Case No. 12-cv-3824 (PGG).  The SEC filed suit on May 14 in the U.S. District Court for the Southern District of New York against China-based China Natural Gas, Inc. and its … Continue reading

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