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Department of Insurance Settlement After Discipline by SEC

Posted by Adam G. Slote - May 31, 2010


A California insurance broker with a life agent license faced an Accusation alleging that he was barred from the securities industry for several years for violating securities laws.  The Accusation also alleged that our client had been sued by other states for permitting unlicensed securities activity.  Our client agreed to settle the case by paying a substantial monetary penalty.


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