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1558 Enforcement Actions in the U.S. over past 30 days

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FTC enforcements decreased 55% over the past 30 days

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SEC issued enforcements: $37,812,859 over the past 30 days

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50 Final Rules go into effect in the next 7 days

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49 Mortgage Lending docs published in the last 7 days

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1670 docs with extracted obligations from the last 7 days

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new Proposed and Final Rules were published in the past 7 days

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11906 new docs in pro.compliance.ai within the last 7 days

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Enforcement Report Feb 13 - 19

FINRA

9 Enforcement Documents

$87,500.00 in Fines

Penalties: $7,500.00
Respondent: Stewart I. Schram
Violation: Between April 2013 and February 2015, Schram engaged in an outside business activity without providing written notice to his FINRA member firm, in violation of FINRA Rules 3270 and 2010… Read More

Penalties: $25,000.00
Respondent: Network 1 Financial Securities Inc.
Violation: From at least 2014 through the present, the firm failed to provide customers complete annual notifications required under Rule 606(b)(2) of Regulation NMS under the Securities Exchange Act of 1934… Read More

Penalties: $40,000.00
Respondent: Louis Capital Markets, LP (n/k/a Louis Capital Markets, LLC)
Violation: During the period May 20, 2013 through April 10, 2017 (the 2017 exam review period), at various times, the firm failed to register certain principals and did not amend Schedule A of its Form BD to accurately identify certain principals, in violation of NASD Rules I022(a) and (b), FINRA Bylaws Article IV Section l(c), and FINRA Rule 2010… Read More

Penalties: N/A
Respondent: Michael Nagy
Violation: Nagy failed to return the cash to the bank or report the incident, despite being asked about it by the bank’s manager later that same day. Nagy ultimately decided instead to keep the money for himself, in violation of FINRA Rule 2010… Read More

Penalties: N/A
Respondent: Paul J. Halvorson
Violation: Halvorson refused to provide information and documents that were requested pursuant to FINRA Rule 8210, in violation of FINRA Rules 8210 and 2010… Read More

Penalties: $5,000.00
Respondent: Kapitall Generation, LLC
Violation: Between January 23, 2020, and February 19, 2020, Kapitall conducted a securities business on 16 days while it failed to maintain the minimum required net capital. As a result, Respondent violated Exchange Act section 15(c) and Rule 15c3-1 thereunder, and FINRA Rules 4110(b) and 2010… Read More

Penalties: N/A
Respondent: Scott Wayne Reed
Violation: In 2019-2020, while associated with Wells Fargo, Reed participated in private securities transactions totaling at least $3.5 million without providing prior written notice to the firm. Accordingly, Reed violated FINRA Rules 3280 and 2010… Read More

Penalties: N/A
Respondent: Bradley Allen Goodbred
Violation: In January 2021, Goodbred refused to respond to an information request issued pursuant to FINRA Rule 8210, thereby violating FINRA Rules 8210 and 2010… Read More

Penalties: $5,000.00
Respondent: James Scott Harrison
Violation: From June 2014 to June 2019, Harrison willfully failed to amend his Uniform Application for Securities Industry Registration or Transfer (Form U4) to disclose, or timely disclose,  six federal tax liens totaling approximately $227,000. Harrison also willfully failed to timely disclose an unsatisfied civil judgment against him in the amount of $31,783. By engaging in this conduct, Harrison violated Article V, Section 2(c) of FINRA’s By-Laws and FINRA Rules 1122 and 2010… Read More

Penalties: N/A
Respondent: Bradley Allen Goodbred
Violation: In January 2021, Goodbred refused to respond to an information request issued pursuant to FINRA Rule 8210, thereby violating FINRA Rules 8210 and 2010… Read More

Penalties: $5,000.00
Respondent: James Alan Schumaker
Violation: From September 2018 through February 2019, Schumaker permitted and enabled a former registered representative who had been barred and statutorily disqualified from the securities industry by FINRA to conduct a securities business… Read More

SEC

12 Enforcement Documents

$1,470,905.00 in Fines

Penalties: $90,000.00
Respondent: Renew Forestry Group, LLC et al.
Violation: The three companies falsely claimed that Renew Forestry had about 1.9 million acres under its control, including timber and mineral rights.. Read More

Penalties: $665,005.00
Respondent: EarthSource Minerals International, LLC et al.
Violation: Wendt and Costabile falsely claimed EarthSource could pay investors returns of 10% per month by engaging in “diamond flipping” – purchasing diamonds in Liberia and exporting them for resale in the United States at significantly higher prices… Read More

Penalties: N/A
Respondent: Morningstar Credit Ratings LLC,
Violation: According to the complaint, in 30 CMBS transactions totaling $30 billion that Morningstar rated from 2015 to 2016, the credit rating agency permitted analysts to make undisclosed adjustments to key stresses in the model that it used in determining the rating for that transaction… Read More

Penalties: N/A
Respondent: All Grade Mining, Inc.
Violation: All Grade Mining, Inc. is delinquent in its periodic filings with the Commission, having not filed any periodic reports since it filed a Form 10-Q on November 11, 2013, for the period September 30, 2013, and has failed to file any 10-Q or 10-K since… Read More

Penalties: N/A
Respondent: Steven Pagartanis
Violation: Respondent will be subject to the applicable laws and regulations governing the reentry process, and reentry may be conditioned upon a number of factors, including, but not limited to, compliance with the Commission’s order and payment of any or all of the following… Read More

Penalties: $700,000.00
Respondent: Zachary Brooke Roberts, Esq.
Violation: Zachary Brooke Roberts is forthwith suspended from appearing or practicing before the Commission pursuant to Rule 102(e)(2) of the Commission’s Rules of Practice… Read More

Penalties: N/A
Respondent: Kevin Graetz
Violation: Graetz violated Section 15(a) of the Exchange Act by selling promissory notes issued by Belize Infrastucture Fund I, LLC to customers of the Broker-Dealer while knowing that the Broker-Dealer firm had declined to
approve the investment… Read More

Penalties: N/A
Respondent: Joseph Cimino
Violation: According to the SEC’s complaint, from approximately December 2014 through September 2017, Cimino raised approximately $985,000 from investors through misrepresentations… Read More

Penalties: $15,900.00
Respondent: Michael J. Starkweather and Andiamo Corporation
Violation: Starkweather, while serving as Andiamo’s CEO, caused Andiamo to issue a false and misleading press release announcing the unveiling of a smartphone Andiamo had purportedly developed, touting the phone’s technical features, and claiming that the phone was available for distribution… Read More

Penalties: N/A
Respondent: Gregory Moats Sampson
Violation: On September 23, 2020, an Amended Judgment in the criminal case was entered against Sampson on one count of money laundering and one count of wire fraud, violations of 18 U.S.C § 1957 and 18 U.S.C. § 1343… Read More

Penalties: N/A
Respondent: Ross McLellan
Violation: The March 31, 2016 criminal indictment alleges that between February 2010 and September 2011 McLellan engaged in a scheme to add commissions to securities trades performed for at least six clients of State Street’s “transition management” business, which helps institutional clients to move their investments between asset managers or to otherwise restructure large investment portfolios… Read More

Penalties: N/A
Respondent: David Correia
Violation: Respondent will be subject to the applicable laws and regulations governing the reentry process, and reentry may be conditioned upon a number of factors, including, but not limited to, compliance with the Commission’s order and payment of any or all of the following… Read More

Penalties: N/A
Respondent: Edward T. Kelly, CPA
Violation: Kelly traded securities issued by Aceto while owing a duty of trust and confidence to Aceto and its shareholders and while in possession of material, non-public information (“MNPI”)… Read More

Penalties: N/A
Respondent: Long Blockchain Corp.
Violation: LBCC has failed to comply with Section 13(a) of the Exchange Act and Rules 13a1 and 13a-13 thereunder in that it has not filedan annual report on Form 10-K since the period ended December 31, 2017. LBCC is also delinquent in filing quarterly reports, having not filed a Form 10-Q since the period ended September 30, 2018… Read More

TREAS

1 Enforcement Document

$619,689,816.00 in Fines

Penalties: $619,689,816.00
Respondent: BitPay, Inc.
Violation: While BitPay screened its direct customers—the merchants— against OFAC’s List of Specially Designated Nationals and Blocked Persons (the “SDN List”) and conducted due diligence on them to ensure they were not located in sanctioned jurisdictions, BitPay failed to screen location data that it obtained about its merchants’ buyers… Read More

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