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CPG Management Co. LLC and Christopher Scott Reid - Consent Order

The Washington State Department of Financial Institutions issued a consent order against CPG Management Co. LLC and Christopher Scott Reid for alleged violations of the Securities Act of Washington. The order settles alleged misconduct related to investment advisory services and private investment funds.

Priority review Enforcement Securities
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CSA Disarms Over 7,500 Fake Investment and Crypto Scam Websites

The Canadian Securities Administrators (CSA) announced the deactivation of over 7,586 fake investment and crypto scam websites targeting Canadians between June 2025 and February 2026. This initiative highlights the CSA's ongoing efforts to combat online investment fraud using regulatory and technological tools.

Priority review Notice Securities
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Luminate Home Loans Fined $100k, Surrenders License

The Washington State Department of Financial Institutions has issued a consent order against Luminate Home Loans, Inc., requiring a $100,000 fine and the surrender of its consumer loan license. The company is prohibited from participating in Washington's mortgage broker or consumer loan industry until February 20, 2031.

Urgent Enforcement Consumer Finance
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Jason Goodhue Fined for Securities Law Violations

The Connecticut Department of Banking has issued a final order fining Jason A. Goodhue $100,000 for violating state securities laws. Goodhue engaged in dishonest or unethical practices and exercised discretionary power in customer accounts without written authorization.

Urgent Enforcement Securities
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Edward Jones Consent Order - Retail Minimum Commissions

The Massachusetts Securities Division has entered into a consent order with Edward Jones & Co., L.P. regarding unreasonable commissions charged on certain small principal equity transactions. Edward Jones will pay $11,287,504 nationwide for overcharging on approximately 781,240 transactions over a five-year period.

Priority review Enforcement Securities
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Massachusetts Securities Division Charges Nantasket Trading and David Markiewicz with Fraud

The Massachusetts Securities Division has filed an administrative complaint against Nantasket Trading, LLC, and David Markiewicz for alleged violations of the Massachusetts Uniform Securities Act. The respondents are accused of misrepresenting the purpose and use of investor funds and diverting them for personal use.

Urgent Enforcement Securities
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Massachusetts Securities Enforcement Action - Ideal Financial Services

The Massachusetts Securities Division has initiated an enforcement action against Ideal Financial Services. The action appears to involve allegations of fraud and the misappropriation of assets, with specific details to be outlined in the full document.

Urgent Enforcement Securities
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Massachusetts Securities Division Consent Order against John W. Sullivan

The Massachusetts Securities Division has issued a consent order against John W. Sullivan, Javelin Securities, LLC, and Ozone Capital Markets, LLC for violations of the Massachusetts Uniform Securities Act. The violations include failure to make proper disclosures, inadequate supervision of a barred individual, and improper record-keeping. The order settles the investigation with prejudice.

Urgent Enforcement Securities
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Massachusetts Securities Division v. Jose Encarnacion - Securities Fraud

The Massachusetts Securities Division has filed an administrative complaint against Jose Encarnacion and Trinity Estate Investments & Development LLC for alleged violations of the Massachusetts Uniform Securities Act. The complaint alleges fraudulent misrepresentation in the offering and sale of unregistered securities, primarily targeting immigrant communities.

Urgent Enforcement Securities
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Colorado Securities Board Composition and Duties

The Colorado Securities Board has updated its public notice regarding the composition, duties, and current members of the Securities Board. The notice outlines the required qualifications for board members, their advisory role to the Securities Commissioner, and lists the current appointees with their professional backgrounds.

Routine Notice Securities

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