Smiley Bishop & Porter LLP

Securities Arbitration & Business Litigation Attorneys

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Houston & Lett v. Wells Fargo Advisors

February 21, 2012 by lmitchum

(FINRA, 2011) Elderly Investor Recovers Losses Tied to UIT After a four day hearing, a panel of FINRA arbitrators awarded $130,000.00 in compensatory damages to our clients.  The damages were for losses incurred by an elderly woman with Alzheimer’s disease whose funds were invested primarily in high-risk securities, including a Claymore Unit Investment Trust (“UIT”).

Filed Under: Winning Cases Tagged With: Atlanta investment fraud attorney, Atlanta Securities arbitration attorney, Atlanta securities fraud lawyer, Atlanta securities law firm, Atlanta Securities Lawyers, Atlanta stock fraud attorney, claymore, UIT, unit investment trust

East Tennessee Neurology P.C. Profit Sharing Plan v. Morgan Keegan & Company, Inc.

March 9, 2011 by lmitchum

Profit sharing plan recovery for losses on RMK Bond Funds (FINRA, 2010) Brian Smiley and Mike Bishop, along with co-counsel, represented the pension plan for a medical practice. The plan’s losses arose from investments solicited in three Regions Morgan Keegan Bond Funds (RMK High Income, RMK Strategic Income, and RMK Multi-Sector Funds). These funds took incredible […]

Filed Under: Winning Cases Tagged With: FINRA Arbitration, Investment Fraud Attorney, Morgan Keegan, Securities Arbitration Attorney, Securities Fraud Lawyer, Securities Law Firm, Securities Lawyers, Stock Fraud Attorney

Perkins and Powell v. Morgan Keegan & Company, Inc.

March 9, 2011 by lmitchum

Recovery for losses in RMK Bond Fund (FINRA, 2009) Brian Smiley, Mike Bishop, and our co-counsel obtained an award of full compensatory damages, attorneys’ fees, plus costs for two clients. The claim related to Regions Morgan Keegan’s Select Intermediate Bond Fund. In defending the case, Morgan Keegan used two expert witnesses, including a former chair of […]

Filed Under: Winning Cases Tagged With: FINRA Arbitration, Investment Fraud Attorney, Morgan Keegan, Securities Arbitration Attorney, Securities Fraud Lawyer, Securities Law Firm, Securities Lawyers, Stock Fraud Attorney

Soden v. Scottrade, Inc. v. Soden

March 9, 2011 by lmitchum

Successful defense of third-party claim brought by brokerage firm (FINRA, 2008) This was an unusual case in which we represented a widow who was sued by a brokerage firm on a third party claim for indemnification. After a hotly contested hearing that spilled over into court proceedings, the arbitrators entered an award in favor of […]

Filed Under: Winning Cases Tagged With: FINRA Arbitration, Investment Fraud Attorney, Securities Arbitration Attorney, Securities Fraud Lawyer, Securities Law Firm, Securities Lawyers, Stock Fraud Attorney

Gresham v. A.G. Edwards & Sons, et. al.

March 9, 2011 by lmitchum

Retiree awarded losses plus $284,908 attorneys’ fees, costs and $400,000 in punitive damages (NYSE, 2003) Brian Smiley was one of the counsel for a former Proctor & Gamble factory worker who contended that he had been defrauded by employees of the A.G. Edwards’ brokerage firm. A panel of NYSE appointed arbitrators awarded Mr. Gresham actual […]

Filed Under: Winning Cases Tagged With: Investment Fraud Attorney, Securities Arbitration Attorney, Securities Fraud Lawyer, Securities Law Firm, Securities Lawyers, Stock Fraud Attorney

Sims v. Washington Square Securities, et al.

March 9, 2011 by lmitchum

Retiree who bought variable annuity in IRA granted recovery of losses, attorneys’ fees and costs (NASD, 2003) BellSouth retiree Gwen Sims was convinced by a financial planner, who conducted a retirement planning class she attended at a local university, to invest her pension assets in a variable annuity. Brian Smiley convinced a panel of NASD arbitrators […]

Filed Under: Winning Cases Tagged With: Investment Fraud Attorney, Securities Arbitration Attorney, Securities Fraud Lawyer, Securities Law Firm, Securities Lawyers, Stock Fraud Attorney, Variable Annuities

Larry Roberts v. Dean Witter Reynolds, Inc. and Brian Smith

March 9, 2011 by lmitchum

Former NFL star awarded over $342,000 for investment scam (NASD, 1998) Brian Smiley and Mike Bishop represented Larry Roberts, a retired defensive end from the San Francisco 49ers. Mr. Roberts contended that his broker at Dean Witter misled him into investing $140,000 in a company which allegedly developed, renovated, and sold homes through a HUD […]

Filed Under: Winning Cases Tagged With: Investment Fraud Attorney, Securities Arbitration Attorney, Securities Fraud Lawyer, Securities Law Firm, Securities Lawyers, Stock Fraud Attorney

Dobison v. Josephthal Lyon & Ross, Inc. and Rodney Sailor

March 9, 2011 by lmitchum

Small business owner awarded $651,201 for losses, $329,664 in attorneys’ fees, and $1,000,000 in punitive damages (NASD, 1997) The firm’s client was a small business owner from Louisiana who alleged that his stockbroker fraudulently induced him to invest in two private companies. After the client lost his entire investment in both companies, Brian Smiley represented […]

Filed Under: Winning Cases Tagged With: Investment Fraud Attorney, Securities Arbitration Attorney, Securities Fraud Lawyer, Securities Law Firm, Securities Lawyers, Stock Fraud Attorney

Lennon, et al. v. CS First Boston Corporation

March 9, 2011 by lmitchum

Defective fairness opinion favoring merger results in $4,250,000 NYSE award for shareholders (NYSE, 1994) Partners of the firm won an award of approximately $5,000,000 for several doctors who claimed that a major investment banking firm issued a misleading “fairness opinion” in connection with the merger of two medical companies, one of whose shares the doctors […]

Filed Under: Winning Cases Tagged With: Investment Fraud Attorney, Securities Arbitration Attorney, Securities Fraud Lawyer, Securities Law Firm, Securities Lawyers, Stock Fraud Attorney

Prudential Limited Partnership Disputes

March 9, 2011 by lmitchum

Successful recoveries for hundred of Prudential clients sold mismarketed limited partnerships Attorneys from the firm represented more than 700 investors pursuing limited partnership claims against Prudential and recovered in excess of $40,000,000 on behalf of those investors. Several of the more noteworthy cases were: J. Don Smith v. Prudential Securities (1993): Mike Bishop and co-counsel […]

Filed Under: Winning Cases Tagged With: Investment Fraud Attorney, Securities Arbitration Attorney, Securities Fraud Lawyer, Securities Law Firm, Securities Lawyers, Stock Fraud Attorney

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There are two times in a man’s life when he should not speculate: when he can’t afford it, and when he can." —Mark Twain
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