Tag Archives: Securities Exchange Act

SEC Charges Jenny Coplan in Affinity Fraud and Ponzi Scheme

SEC v. Jenny E. Coplan, Case No. 1:13-cv-62127 (S.D. Fla.).  On September 30, 2013, the SEC announced charges against Jenny E. Coplan for allegedly conducting a Ponzi scheme and affinity fraud that targeted the Colombian-American community.  According to the SEC, … Continue reading

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SEC Charges Peter Kirschner, Stuart Rubens, Advanced Equity Partners and Premiere Consulting with Fraud and Registration Violations

SEC v. Advanced Equity Partners, LLC, Premiere Consulting, LLC, Peter Kirschner and Stuart Rubens, Case No. 3:13-cv-62100 (S.D. Fla.).  On September 26, 2013, the SEC announced fraud charges against Peter Kirschner, a repeat offender, his business partner Stuart Rubens, and … Continue reading

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SEC Charges Game Company CEO Troy Lyndon and Ronald Zaucha with Fraud

SEC v. Troy Lyndon and Ronald Zaucha, Case No. CV13 00486 SOM KSC (D. Haw.).  On September 25, 2013, the SEC announced fraud charges against Troy Lyndon, the founder, CEO and CFO of a religious-themed video game manufacturer and his … Continue reading

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SEC Charges Bank Executives Ted Awerkamp and Michael McGrath with Fraud

SEC v. Mercantile Bancorp, Inc. et al., Case No. 3:13-cv-03341-RM-BGC (C.D. Ill.).  On September 24, 2013, the SEC announced charges against Mercantile Bancorp, its former CEO Ted Awerkamp, and its former CFO Michael McGrath for failing to notice in the … Continue reading

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SEC Charges Larry Polhill with Investment Fraud

SEC v. Larry R. Polhill, Case No. EDCV13-1729 MRP (SPx) (C.D. Cal.).  On September 24, 2013, the SEC announced charges against Larry Polhill for allegedly defrauding hundreds of investors who bought promissory notes believing they were secured by collateral.  According … Continue reading

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SEC Charges 10 Brokers in Connection with the McGinn Smith Ponzi Scheme

In the Matter of Donald J. Anthony, Jr. et al., Admin Proc. No. 3-15514.  On September 23, 2013, the SEC announced charges against 10 former brokers for their roles in a $125 million investment scheme.  In 2010, the SEC filed … Continue reading

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SEC Charges Frank Spinosa and TD Bank for their Role in Rothstein Ponzi Scheme

SEC v. Frank Spinosa,  Case No. 0:13-cv-62066 (S.D. Fla.); In the Matter of TD Bank, N.A., Admin Proc. No. 3-15512.  On September 23, 2013, the SEC announced fraud charges against TD Bank and former executive Frank Spinosa for their roles in … Continue reading

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SEC Charges Filmmaker Lawrence Robbins with Insider Trading

SEC v. Lawrence J. Robbins, (S.D.N.Y.).  On September 23, 2013, the SEC announced insider trading charges against independent filmmaker Lawrence Robbins.  According to the SEC, Robbins traded in Millennium Pharmaceuticals Inc. and Sepracor Inc. securities based on inside information that … Continue reading

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SEC Charges Former Qualcomm Executive Jing Wang and his Financial Advisor Gary Yin with Insider Trading

SEC v. Jing Wang and Gary Yin, Case No. 3:13-cv-02270-L-WVG (S.D. Cal.).  On September 23, 2013, the SEC announced insider trading charges against former Qualcomm executive Jing Wang and his financial adviser Gary Yin for trading ahead of major announcements … Continue reading

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SEC Charges Stephen Kirkland and his Company The Kirkland Organization with Securities Fraud for Misleading Investors About the Returns on their Investments

SEC v. Stephen L. Kirkland and The Kirkland Organization, Inc., Case No. 1:13-cv-3150-JEC (N.D. Ga.).  On September 23, 2013, the SEC announced fraud charges against Stephen L. Kirkland and his company The Kirkland Organization, Inc. (“TKO”).  According to the SEC, … Continue reading

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