知道何时需要雇用投资损失律师

是什么投资等级基金一世and Why Are Investor Losses A Concern?

经纪交易商的疏忽指控在给投资者的私人安置损失后浮出水面。如果您是一名投资者,经纪人建议您购买IGF投资级基金I,LP的股票,那么您可能会努力挣扎是否需要聘请投资损失律师。由IGF Partners经营的这家房地产核心基金由美国各地的经纪公司销售和出售。

IGF Fund I investors were told that they could expect 6% yearly returns that were to be paid monthly and that two-thirds of the income would be tax-deferred. Now, however, there are growing concerns that brokerage firms may have been negligent when marketing and selling this IGF Fund to customers. This is why Shepherd Smith Edwards and Kantas (investorlawyers.com) are currently speaking to investors to help them determine whether they have grounds for an investor loss claim.

Our Investment Loss Lawyer Team Is Investigating Brokerage Firms That Sold IGF Investment Grade Fund I

这是一项房地产投资基金和私人安置,投资于单租户的净租赁商业物业。IGF投资级基金I初始提供的6000万美元是在2016年3月。向潜在的投资者吹捧6%的年收益。但是,截至2018年8月,该基金仅筹集了1,170万美元。

In early 2019, IGF Fund told investors it was extending its offering period from the end of December 2018 to April 30, 2019. Meanwhile, the Fund and brokers allegedly continued to aggressively market this private placement to investors even though insufficient capital would impede the Fund’s ability to buy properties and, in turn, limit or even erase, investor returns.

出售IGF投资级基金的经纪交易商应该进行适当的尽职调查,以确保不仅适合客户的私人安置,而且是一个可行的机会,可以实现投资者的承诺。

IGF基金I在筹集足够的资金方面遇到问题的事实应该是一个危险信号警告财务顾问,不要小心地将其推向切割机。不幸的是,由于私人位置倾向于向经纪人及其公司的高佣金支付(通常高达10%至15%),因此赚钱的诱惑可以胜过寻求投资者的最大利益。

我们正在调查出售IGF基金I的经纪公司I

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This private placement fund should have been sold to accredited investors barring certain exceptions. Accredited investors should have at least $200K yearly income (or $300K joint income over the past two years) or a $1M net worth (not including their home). They also should be sophisticated, experienced investors who are able to handle a certain level of risk.

经纪人绝对应该避免营销IGF投资级I I I对零售客户或高级投资者的保守投资目标和低风险的容忍度。

为什么财务顾问过失可以成为FINRA诉讼的理由,而您可能需要聘请投资损失律师

It is broker negligence to make unsuitable investment recommendations to customers, fail to conduct the proper due diligence into a financial product or its issuer, make misrepresentations and omissions about the risks, or disregard investors’ best interests in order to make higher commissions.

公司和/或其财务顾问的经纪交易商疏忽行为可以成为金融业监管机构的理由(FINRA) arbitration claim if significant investor losses result.

This is not the type of claim that you want to pursue without experienced FINRA arbitration lawyers representing you. To schedule your free, no-obligation case assessment, call Shepherd Smith Edwards and Kantas at(800)259-9010今天。

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