Automatically monitor regulatory updates to map to your internal policies, procesures and controls. Learn More
-

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

-

FTC enforcements decreased 55% over the past 30 days

-

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

-

50 Final Rules go into effect in the next 7 days

-

49 Mortgage Lending docs published in the last 7 days

-

1670 docs with extracted obligations from the last 7 days

-

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

-

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

-

Considering RCM Solutions?  Here’s an RFP to get started.

-

Enforcement Report Jan 16 - 22

SEC

13 Enforcement Documents

$647,055.00 in Fines

Penalties: N/A
Respondent: RICHARD PORTILLO & CIS MARKETING, LLC
Violation: The complaint alleges that Portillo, both directly and through CIS Marketing, received transaction-based compensation, in the form of a ten percent commission (five percent cash and five percent equity) on the Smart Initiatives, Valley View and Target Equity securities he and CIS Marketing sold for the Johnsons’ issuers… Read More

Penalties: N/A
Respondent: Abhi Batra a/k/a Abhimanyu Batra
Violation: Batra transferred money from bank accounts to brokerage accounts via ACH, then used the funds to purchase speculative options contracts… Read More

Penalties: N/A
Respondent: Jacob C. Glick
Violation: From mid-2016 through mid-2018, Glick defrauded his advisory clients in three different ways… Read More

Penalties: $542,582.00
Respondent: Geoffrey Thompson
Violation: Thompson and his company, Covalent Collective, Inc., raised more than $19 million from approximately 500 investors through unregistered securities offerings for which no exemption from registration applied… Read More

Penalties: N/A
Respondent: Reginald Buddy Ringgold, III and Aka Rasool Abdul Rahim El
Violation: Between April 2018 and October 2018, Blockvest and Ringgold solicited investors, including Rosegold clients, for a planned $100 million initial coin offering (“ICO”) of BLV tokens, scheduled for December 2018… Read More

Penalties: $104,473.00
Respondent: Dominick & Dominick LLC and Robert X. Reilly
Violation: On July 28, 2014, the Commission issued an Order Instituting Administrative and Ceaseand-Desist Proceeding Pursuant to Sections 15(b) and 21C of the Securities Exchange Act of 1934 and Sections 203(e) and 203(k) of the Investment Advisers Act of 1940, Making Findings, and Imposing Remedial Sanctions and Cease-and-Desist Orders (the “Order”)1 against Dominick & Dominick LLC (“D&D”) and Robert X. Reilly (“Reilly”) (collectively, the “Respondents”)… Read More

Penalties: N/A
Respondent: Michael Sztrom, David Sztrom, and Sztrom Wealth Management, Inc.
Violation: From November 2015 through March 2018, David and Michael Sztrom provided investment advice to clients through Sztrom Wealth Management (SWM)… Read More

FINRA

10 Enforcement Documents

$1,703,743.89 in Fines

Penalties: $158,289.00
Respondent: BRYAN G. MAZLIACH
Violation: Respondent is barred from associating with any FINRA member firm in any capacity for recommending and effecting an unsuitable investment strategy to five customers involving in-and-out, short-term, and excessive trading; executing unauthorized trades in the accounts of eight customers; and failing to provide documents and information requested by FINRA, in violation of FINRA Rules 2111, 8210, and 2010… Read More

Penalties: N/A
Respondent: David A. Jenson
Violation: In connection with FINRA’s investigation regarding whether Jenson recommended customers invest in an unsuitable concentration of church bonds, FINRA staff issued Jenson a request for information and documents pursuant to FINRA Rule 8210. Jenson failed to respond. As a result, Jenson violated FINRA Rules 8210 and 2010… Read More

Penalties: $5,000.00
Respondent: Anthony Tricarico
Violation: Between November 2014 and November 2015, Tricarico violated FINRA Rules 2111 and 2010 when he engaged in excessive and quantitatively unsuitable trading in the accounts of three of his firm’s customers… Read More

Penalties: N/A
Respondent: Charles Ernest Kenahan
Violation: In January 2021, Kenahan refused to respond to requests for the production of information and documents and for testimony pursuant to FINRA Rule 8210, in violation of FINRA Rules 8210 and 2010… Read More

Penalties: $35,454.86
Respondent: Christian Frank Lucchetto
Violation: Between January 2018 and May 2019, Lucchetto excessively and unsuitably traded one customer’s account, in violation of FINRA Rules 2111 and 2010… Read More

Penalties: N/A
Respondent: Gary Wayne Hammond
Violation: Between February and October 2016, while associated with MSI Financial Services, Hammond participated in at least 14 private securities transactions totaling $1,638,000 without providing written notice to his firm. Accordingly, Hammond violated FINRA Rules 3280 and 2010… Read More

Penalties: $5,000.00
Respondent: George William Magladry, III
Violation: On November 16, 2018, while associated with Centaurus, Magladry was charged with two felony counts of making Criminal Threats, and on February 7, 2019, entered a no contest plea to one felony count of making a Criminal Threat… Read More

Penalties: $1,250,000.00
Respondent: Goldman Sachs & Co. LLC
Violation: Between January 2015 and November 2019, Goldman failed to fingerprint and screen for statutory disqualification a significant number of its U.S.-based non-registered associated persons, Between January 2015 to January 2018, Goldman failed to timely fingerprint at least 1,061 non-registered associated individuals… Read More

Penalties: N/A
Respondent: Javelin M. San Nicolas
Violation: San Nicolas 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: $250,000.00
Respondent: Amherst Pierpont Securities LLC
Violation: Between January 1, 2012 and June 30, 2014 (the Relevant Period), an associated person of ASG who acted as a salesperson for Residential Mortgage-Backed Securities (RMBS), made misleading pricing-related statements to ASG counterparties in connection with negotiations involving 11 separate transactions in RMBS that triggered additional review by ASG due to the size of the spreads realized by ASG… Read More

FTC

15 Enforcement Documents

$31,600,000.00 in Fines

Penalties: N/A
Respondent: SANCTUARY BELIZE LITIGATION
Violation: The Federal Trade Commission (“FTC”) has filed an Amended Complaint for Permanent Injunction and Other Equitable Relief (“Amended Complaint”), pursuant to Section 13(b) of the Federal Trade Commission Act (“FTC Act”), 15 U.S.C. § 53(b), and the Telemarketing and Consumer Fraud and Abuse Prevention Act (“Telemarketing Act”), 15 U.S.C. §§ 6101-6108, alleging that Defendants Andris Pukke, Peter Baker, and Luke Chadwick violated the FTC Act and the Telemarketing Sales Rule through the deceptive marketing of lots in a development known variously as Sanctuary Bay, Sanctuary Belize, and The Reserve (for ease, “Sanctuary Belize… Read More

Penalties: $16,000,000.00
Respondent: STEVEN EBRANI & CONCERT SPECIALS, INC
Violation: A. Circumventing a security measure, access control system, or other technological control or measure on an Internet website or online service that is used by the Ticket Issuer to enforce posted Ticket purchasing limits or to maintain the integrity of posted online Ticket purchasing order rules… Read More

Penalties: $11,200,000.00
Respondent: EVAN KOHANIAN & JUST IN TIME TICKETS, INC
Violation: Between January 1, 2017 and the present date, Defendants have used ticket bots and other technology to gain access to tens of thousands of tickets for performances and events, including concerts and sporting events… Read More

Penalties: $4,400,000.00
Respondent: SIMON EBRAN & CARTISIM CORPORATION
Violation: A. Circumventing a security measure, access control system, or other technological control or measure on an Internet website or online service that is used by the Ticket Issuer to enforce posted Ticket purchasing limits or to maintain the integrity of posted online Ticket purchasing order rules… Read More

X
Compliance.ai
Privacy Overview

This website uses cookies so that we can provide you with the best user experience possible. Cookie information is stored in your browser and performs functions such as recognising you when you return to our website and helping our team to understand which sections of the website you find most interesting and useful.