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Securities Law: When Broker ... Means Broker
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Start Date/Time:
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Tuesday, December 18, 2012 7:30 AM
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End Date/Time:
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Tuesday, December 18, 2012 9:00 AM
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Recurring Event:
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One time event
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Importance:
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Normal Priority
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Description:
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REGISTRATION FORM
1 hr. CLE
Registration & Continental Breakfast: 7:30 a.m.
CLE Program: 8-9 a.m.
Location: Regions Bank Building Conference Center (5th floor) in downtown Indy
Live Program: Investment fraud and stockbroker misconduct can happen to anyone who has money to invest. Sometimes fraud is committed by a negligent stockbroker or financial advisor who knowingly or unintentionally misrepresents certain investments. Other times, it’s a greedy spouse who makes unauthorized transactions in their spouse’s brokerage account.
Speaker: Mark E. Maddox, former Indiana Securities Commissioner and founder of Maddox Hargett & Caruso, P.C., illustrates the world of investment fraud with these and other real-life cases. A nationally recognized legal expert in securities arbitration, he shows investors how to spot red flags of potentially “bad” investments, why using a FINRA-accredited broker or investment firm is important, and some of the financial products, including variable life insurance policies, non-traded REITs, private placements and investments geared to the elderly, behind many of today’s fraud schemes.
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| Copyright 2013 by Indiana State Bar Association
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