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Stockbroker-Customer Disputes: Making a Case for Arbitration

February 20, 2011 by lmitchum

By Brian N. Smiley As the bulls run wild on Wall Street, there is increasing evidence that the nation’s securities markets have also provided a home for vipers. Names of prominent executives and major brokerage houses have appeared under headlines announcing investigations, indictments and plea bargains for insider trading, market manipulation. Conspiracy, and other conduct […]

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

Limited Partners Face Hidden Risks, Fees

February 19, 2011 by lmitchum

If you own a limited partnership interest, or are considering such an investment, you should be aware of a less-recognized form of investor abuse: limited partnership fraud. Because limited partners do not participate in day-to-day partnership operations and there is no board of directors to review management decisions, the general partner has almost complete control […]

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

Ponzi Schemes

February 15, 2011 by lmitchum

Even in the wake of the “Bernie” Madoff scandal, investors continue to lose billions of dollars in Ponzi schemes. Stripped to its bare bones, a Ponzi scheme is a ploy where a promoter pays one set of investors with money raised from other investors. Ponzi promoters promise investors high returns but offer few details, except […]

Filed Under: Investment Products Tagged With: Investment Fraud Attorney, Ponzi Scheme, Securities Arbitration Attorney, Securities Fraud Lawyer, Securities Law Firm, Securities Lawyers, Stock Fraud Attorney

A Warning About Variable Annuities

February 5, 2011 by lmitchum

Brokers love variable annuities, but most investors should view them as toxic investments. Variable annuities are basically mutual funds contained within a highly expensive insurance “wrapper.” They are attractive to brokers because they offer almost unbelievably high commission payouts which the client never sees, but pay through high annual expenses and large “surrender charges” which […]

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

John C. Porter, Jr. and Brian Smiley Recognized by Georgia Super Lawyers Magazine

February 1, 2011 by lmitchum

John C. Porter, Jr. and Brian Smiley Recognized by Georgia Super Lawyers Magazine

John C. Porter, Jr. and Brian Smiley have been named by Georgia Super Lawyers magazine as two of the top attorneys in Georgia for 2011. Only 5% of the lawyers in the state are named by Super Lawyers. The selections for this esteemed list are made by the research team at Super Lawyers, which is […]

Filed Under: Firm News Tagged With: Securities Arbitration Attorney, Securities Law Firm, Securities Lawyers, Super Lawyers

Equity Indexed Annuities

January 25, 2011 by lmitchum

Here’s a proposition: Fearful investors provide a ready market for products that sound safe, but aren’t. Exhibit A in support of that proposition? The Equity Indexed Annuity, or EIA. An EIA is an annuity, meaning it’s a contract to pay a guaranteed minimum interest rate, which is then goosed up by aligning the rate it […]

Filed Under: Investment Products Tagged With: Equity Indexed Annuities, Investment Fraud Attorney, Securities Arbitration Attorney, Securities Fraud Lawyer, Securities Law Firm, Securities Lawyers, Stock Fraud Attorney

Brian Smiley Reelected to the PIABA Board of Directors

October 1, 2010 by lmitchum

Brian Smiley Reelected to the PIABA Board of Directors

Brian Smiley was reelected to the Board of Directors of the Public Investors Arbitration Bar Association. This was for his third two-year term. During the organization’s annual meeting in Ponte Vedra Beach Florida, Brian conducted a members only session on brokerage firm defense tactics.

Filed Under: Firm News Tagged With: Securities Arbitration Attorney, Securities Fraud Lawyer, Securities Law Firm, Securities Lawyers

Brian Smiley Completes Successful Term as PIABA President

October 1, 2009 by lmitchum

Brian Smiley Completes Successful Term as PIABA President

Brian Smiley completed his term as president of the Public Investors Arbitration Bar Association (PIABA). With over 450 members nationally, PIABA is the only bar association dedicated to advocacy on behalf of investors who bring claims in arbitration. During Mr. Smiley’s term, PIABA initiated a number of significant reform measures to the arbitration process.

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

Brian Smiley Speaks At the Practicing Law Institute

August 1, 2009 by lmitchum

Brian Smiley appeared on the Practicing Law Institute’s program “Securities Arbitration in the Market Meltdown Era” held on August 12, 2009. He was a speaker on two panel discussions concerning arbitration practices.

Filed Under: Firm News Tagged With: FINRA Arbitration, Investment Fraud Attorney, Securities Arbitration Attorney, Securities Law Firm

Brian Smiley Completes Service as Public Member of the National Arbitration and Mediation Committee

December 1, 2007 by lmitchum

Brian Smiley completed five years of service as a public member of the National Arbitration and Mediation Committee. The 13 members of the NAMC are appointed by FINRA to advise the Board of Directors of FINRA in the drafting of arbitration rules and the recruitment, training, and evaluation of arbitrators. The members of the NAMC are […]

Filed Under: Firm News Tagged With: FINRA, Investment Fraud Attorney, Securities Arbitration Attorney, Securities Law Firm

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