November 30, 2012
Looking at Investment Fraud from Both Sides Now
Hardly a week goes by without a news story reporting another investment scam that caused millions of dollars of losses.
Investment fraud is on the rise and the 3.0 hour CLE, “Stockbroker Malpractice and Securities Arbitration” slated for December 6 will cover how to help prevent your clients from becoming victims.
You will also learn how to recognize signs of investment fraud and how to recover losses caused by the misconduct of financial advisors and brokerage firms.
Taking a twist on Joni Mitchell’s “Both Sides Now,” David P. Meyer (Meyer Wilson Co.) and Douglas Jennings (Carlile Patchen & Murphy) will provide both the claimant as well as respondents’ perspectives on the subject. Register online or call 614/221.4112.