SW Financial

Date:

June 20, 2023

Type of alert:

FINRA AWC  

SW Financial entered into a FINRA Acceptance, Waiver, and Consent. SW Financial allegedly made material misrepresentations and omissions to customers in connection with the sale of private placement offerings of pre-initial public offering funds. SW Financial also failed to establish, maintain, and enforce a supervisory system, failed to reasonably supervise, and more. SW Financial consented, without admitting or denying the claims, to an expulsion from FINRA membership.

Contact Us If You Believe You Have a Case

"*" indicates required fields

Name*

Please note: We are unable to take cases with losses of less than $50,000.

This field is for validation purposes and should be left unchanged.

This site contains attorney advertising. The attorneys at ChapmanAlbin are licensed to practice law in Ohio and Michigan. Any reference to past cases or successes made herein should not be construed as a guarantee of any future outcome. Each client and each client’s case is unique, and no result or outcome is or can ever be guaranteed. The information provided in this website is offered for general information purposes only; it is not offered as and does not constitute legal advice in any way. // Disclaimer