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Displaying 331-340 out of 377 results for "Muni Markup Week".

Regulating the Derivatives Markets

The New York Times had an excellent editorial last week titled "A Long Road to Regulating Derivatives," which discusses the progress made in regulating the types of complex securities which have been implicated in the recent financial crisis. We at SLCG feel that investors should pay close attention to the changes taking place in securities regulation as they could have a significant impact on the entire market.

Traditionally, derivatives were regulated relatively lightly, especially...

$85 million and Counting: What Price Will Citigroup Ultimately Pay for Its MAT/ASTA Deception?

On March 13, 2012, Bloomberg published Citigroup Ex-Manager Islam Has No Regrets After Funds Crash. Then on March 21, 2012 USA Today published Investor hedge fund claims cost Citigroup $85M and counting. These two stories deal with MAT/ASTA hedge funds Citigroup sold to retail clients which suffered staggering losses in early 2008. Both recent stories discuss the $54.1 million award in Hosier et al v Citigroup covered in the WSJ, Citigroup Loses Muni Case in April 2011.

Craig McCann has...

SEC Litigation Releases: Week in Review (Part II) - March 23rd, 2012

Due to the high volume of litigation releases from the Securities and Exchange Commission over the past week, we're spreading this week's review over two posts. This is the second of the two posts.

SEC Settles Litigation with Former Veritas Software Corporation Head of Sales
March 22, 2012, (Litigation Release No. 22304)
The US District Court for the Northern District of California entered a settled final judgment against Paul A. Sallaberry -- former head of sales of Veritas Software...

SEC Litigation Releases: Week in Review (Part I) - March 23rd, 2012

Due to the high volume of litigation releases from the Securities and Exchange Commission over the past week, we're spreading this week's review over two posts. This is the first of the two posts.

Defendant Michael Kimelman Settles SEC Insider Trading Charges
March 20, 2012, (Litigation Release No. 22299)
Michael Kimelman -- formerly a trader a Lighthouse Financial Group, LLC -- received material nonpublic information from an attorney concerning the acquisition of 3Com Corp. and allegedly...

Problems Surrounding the Complexity of Annuity Products

On Sunday, The Wall Street Journal reported the felony-theft conviction of Glenn Neasham who had sold a complex annuity to an elderly woman. The conviction -- which comes with a 90-day sentence -- was handed down by a state-court jury in Lake County, CA. From the article:

The case underlines authorities' continuing discomfort with "indexed" annuities, savings products that pay interest tied to the performance of stock- and bond-market indexes. Insurers guarantee that buyers won't lose any of...

Abuse of Municipal Finance in Wisconsin

The Wall Street Journal is reporting that Stifel Financial has settled with five Wisconsin school districts on charges that they misled these municipal investors with their sale of several complex CDOs. This is just another example of the situation outlined in a previous postwherein a municipality or institutional investor was taken advantage of through the sale of inappropriate investments. The settlement involves $22.5 million in cash, plus $154 million in debt forgiveness. SLCG has been...

SEC Litigation Releases: Week in Review (Part II) - March 16th, 2012

Due to the high volume of litigation releases from the Securities and Exchange Commission over the past week, we're spreading this week's review over two posts. This is the second of the two posts.

SEC Charges Five with Insider Trading on Confidential Merger Negotiations Between Philadelphia Company and Japanese Firm
March 14, 2012 (Litigation Release No. 22288)
The SEC charged Timothy J. McGee, Michael W. Zirinsky, Robert Zirinsky, and Hong Kong residents Paulo Lam and Marianna sze wan Ho with...

SEC Litigation Releases: Week in Review (Part I) - March 16th, 2012

Due to the high volume of litigation releases from the Securities and Exchange Commission over the past week, we're spreading this week's review over two posts. This is the first of the two posts.

SEC Files Civil Injunctive Action Against Senior Management of Thornburg Mortgage, Inc. for Alleged Fraudulent Overstatement of Thornburg's Income
March 13, 2012, (Litigation Release No. 22287)
Ealier this week, the SEC charged that Larry Goldstone, Clarence Simmons and Jane Starrett (former...

SEC Litigation Releases: Week in Review - March 9th, 2012

District Judge Approves SEC Settlement with Koss Corporation and Michael J. Koss, its former CEO and CFO
March 9, 2012, (Litigation Release No. 22279)
In the SEC's October 2011 complaint(Litigation Release No. 22138), the SEC alleged that the Milwaukee, Wisconsin based Koss Corporation had prepared materially inaccurate financial statements from FY 2005-2009. The complaint alleged that, during this period, Sujata Sachdeva (Koss Corporation's former Principal Accounting Officer and Vice...

SEC Litigation Releases: Week in Review - March 2nd, 2012

Court Enters Summary Judgement Against Insider Trading Defendants John Jantzen and Wife, Marleen Jantzen
March 1, 2012, (Litigation Release No. 22273)
On Wednesday, United States District Judge James R. Nowlin of the Western District of Texas, Austin Division, entered summary judgment against Austin residents John and Marleen Jantzen on insider trading chargesbrought by the Commissionin 2010. The Court found that both Jantzens insider traded in violation of the Exchange Act based on material...

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