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Trade & Procurement
Recent changes
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.
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.
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.
Colorado Securities Act, Municipal Bond Supervision Act, Commodity Code
This document provides links to various Colorado statutes and rules related to securities, municipal bonds, and commodities. It includes the Colorado Securities Act, the Municipal Bond Supervision Act, and the Colorado Commodity Code, along with their respective regulations. The page also links to federal SEC laws and information on protecting vulnerable adults from financial exploitation.
Eric Gemelli Barred from Securities Sales in Colorado for 10 Years
The Colorado Securities Commissioner has barred Eric Gemelli and his company, Market4Caster, LLC, from selling securities in Colorado for 10 years. Gemelli admitted to unlicensed sales of over $3 million in unregistered securities, violating the Colorado Securities Act.
Colorado Adopts Rules Extending Licensing Exam Validity
The Colorado Division of Securities has adopted new rules extending the validity of licensing exams for sales representatives and investment adviser representatives (IARs) up to five years. These rules, effective January 14, 2026, incorporate FINRA's MQP and NASAA's EVEP, allowing individuals to maintain qualifications by meeting specific criteria and completing annual continuing education.
Colorado Division of Securities Enforcement Actions
The Colorado Division of Securities has published a list of its recent enforcement actions. These actions are taken against individuals and entities violating securities laws and regulations within the state. The list provides access to specific case details and outcomes.
Stifel Nicolaus & Company - Texas Securities Board Consent Order
The Texas State Securities Board (TSSB) has issued a consent order against Stifel, Nicolaus & Company, Inc. for charging unreasonable commissions on approximately 45,352 equity transactions nationwide over five years, totaling over $885,480. Stifel agreed to the order, settling a coordinated investigation with multiple states.
RBC Capital Markets Fined and Reprimanded by Texas Securities Board
The Texas State Securities Board (TSSB) issued a disciplinary order against RBC Capital Markets, LLC, fining and reprimanding the firm for charging unreasonable commissions on equity transactions. The order resolves investigations by a multi-state group of regulators.
Logan Cox Reprimanded for Investment Adviser Registration
The Texas State Securities Board has issued a disciplinary order against Logan Cox, an investment adviser representative and agent. Cox consented to the order, which reprimands him for failing to give appropriate weight to certain costs associated with an alternative investment recommendation, violating Regulation Best Interest.
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