Smiley Bishop & Porter LLP

Securities Arbitration & Business Litigation Attorneys

(800) 697-4514
Menu
  • The Firm
    • Firm Overview
    • Attorney Profiles
    • Who We Serve
  • Practice Areas
    • Arbitration Against Stockbrokers
    • Securities
    • Auction Rate Securities Lawyers
  • Cases & Investigations
    • Winning Cases
    • Current Investigations
  • News
    • Firm News
    • SBP In The Press
  • Investor Resources
    • Articles
    • Investment Products
    • Churning Calculator
    • Books for Investors
    • Notable Quotes
    • Helpful Links
  • Blog
  • Payment
    • Pay Invoice
    • Pay Retainer
  • Contact Us

Securities America/Medical Capital and Provident Royalties

March 22, 2011 by jordan

Smiley Bishop & Porter LLP is investigating Securities America’s Medical Capital, Inc. promissory notes and Provident Royalties preferred stock. Clients have brought claims against the firm alleging that it failed to adequately investigate these products, that the investments were unsuitable, and that the firm did not disclose the products’ risks, which were substantial. The Securities […]

Filed Under: Current Investigations Tagged With: FINRA Arbitration, Investment Fraud Attorney, Medical Capital, Provident Royalties, SEC, Securities America, Securities Arbitration Attorney, Securities Fraud Lawyer, Stock Fraud Attorney

True Crime Saga “Inside Job”-The Real Cause of the Economic Collapse of 2008

March 21, 2011 by jordan

True Crime Saga “Inside Job”-The Real Cause of the Economic Collapse of 2008

The economic collapse of 2008 was no accident. It was an “Inside Job,” according to filmmaker Charles Ferguson. His award winning documentary is essential viewing for anyone who wants to look behind the curtain at the forces that caused the real estate/subprime bubble that brought many of the world’s biggest economies to their knees. There are plenty […]

Filed Under: Blog Tagged With: Citigroup, Investment Fraud Attorney, Lehman Brothers, SEC, Securities Law Firm

The Japanese Earthquake and Leveraged ETFs

March 18, 2011 by jordan

The earthquake and tsunami in Japan are a horrifying human tragedy, and our hearts must go out to the thousands of victims and their families. It would be wrong to equate financial loss with loss of actual lives. Yet, the natural disaster and its subsequent impact on the Japanese stock market highlights the investment risk […]

Filed Under: Blog Tagged With: Investment Fraud Attorney, Leveraged ETF, Securities Lawyers, Stock Fraud Attorney

Citigroup/Smith Barney MAT/ASTA Funds

March 11, 2011 by lmitchum

Smiley Bishop & Porter LLP is investigating the Citigroup/Smith Barney MAT/ASTA Hedge Funds. The Funds were allegedly marketed as conservative, suitable investments. Unfortunately, the Funds were heavily leveraged and exposed to higher risk than represented. The Funds were involved in a risky investment strategy known as municipal arbitrage, and many investors were unaware of the […]

Filed Under: Current Investigations Tagged With: Citigroup, Investment Fraud Attorney, MAT/ASTA, Securities Arbitration Attorney, Securities Fraud Lawyer, Securities Law Firm, Securities Lawyers, Stock Fraud Attorney

MAT/ASTA Fund

March 11, 2011 by lmitchum

In 2002, Citigroup’s Smith Barney brokerage unit started marketing six MAT/ASTA hedge funds to its clients. These Citigroup proprietary funds were trusts, which used borrowed money to buy municipal bonds, and were supposed to make profits based on the spread in interest rates between borrowed and invested funds. Total assets in these funds were approximately […]

Filed Under: Investment Products Tagged With: Investment Fraud Attorney, MAT/ASTA, Securities Arbitration Attorney, Securities Fraud Lawyer, Securities Law Firm, Securities Lawyers, Stock Fraud Attorney

Regions Morgan Keegan Bond Funds

March 10, 2011 by lmitchum

Smiley Bishop & Porter LLP has represented a number of individual and institutional investors who bought shares of Morgan Keegan’s RMK High Yield Bond Funds. RMK Funds were marketed as low risk investments, despite a high concentration in subprime mortgage-backed securities and collateralized debt obligations. A particular problem was that the funds invested in low […]

Filed Under: Current Investigations Tagged With: Collateralized Debt Obligations, FINRA, FINRA Arbitration, Investment Fraud Attorney, Morgan Keegan, SEC, Securities Arbitration Attorney, Securities Fraud Lawyer, Securities Law Firm, Securities Lawyers, Stock Fraud Attorney

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

« Previous Page
Next Page »

Cases & Investigations

  • » Home
  • » Winning Cases
  • » Current Investigations
Fill out my online form.

6075 Barfield Rd. | Suite 1150 | Atlanta, GA 30328 |(770) 829.3850 | Toll Free (800) 697.4514

Copyright© 2020, Smiley Bishop & Porter LLP. All Rights Reserved. Home | Disclaimer | Contact

Hosting by Packawhallop

SuperLawyers 2011