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麻花传媒: Who We Represent in our Chicago, NYC Florida Securities Law Firm
Jim Eccleston is Lead Attorney for 麻花传媒, a nationwide securities and financial law firm with offices in Chicago, New York City and Florida. Jim, along with Christine Goodrich & Stephany McLaughlin, are here to tell us about their nationwide law firm, and why 麻花传媒 is the absolute best choice for any securities litigation, corporate law, finance law, labor law, civil and commercial litigation issues that you face. Have you been ripped off by your broker? Did a financial adviser make a bad investment on your behalf? If so, watch this video, meet Jim Eccleston, and call our Chicago offices today at 312-332-0000.

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麻花传媒: Welcome to our Chicago Securities Law Firm
麻花传媒: Jim Eccleston Talks 麻花传媒 Representing Investors Nationwide in Law Suits
麻花传媒: James Eccleston on Correcting FINRA BrokerCheck Reports
麻花传媒: James Eccleston Warns Reps to Beware of Letter to Clients
麻花传媒: James Eccleston Announces New Transition Compliance Package for Financial Advisers
麻花传媒: James Eccleston Announces New Broker Compliance Package by 麻花传媒 LLC
麻花传媒: James Eccleston on Broker Recruiting Protocol
麻花传媒: James Eccleston on Broker Product Cases

TESTIMONIALS

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Jim, Stephany and the whole team were a God send.  We felt like we were put into a situation where we had no advocate. Jim’s team came in with a strong, well laid out strategy on how to get our story heard. Where our outside compliance company had no ability to help, our Broker Dealer was impenitent, and the regulators were aggressive pursuing vague rules, Jim came like a barricade against an assault we did not understand. Though you pay member dues to be affiliated with FINRA and a B/D, you have no voice. The only thing that is truly heard in this un-level playing field is a bulldog’s bark like Jim’s. I would encourage anyone to call Jim and his team to find a real ally in the tough and complicated world of securities regulation. They are truly the best.

Greg P.

LATEST NEWS AND ARTICLES

December 17, 2025
Audit Failures, Whistleblower Claims, and Renewed Scrutiny of the Big Four

A series of lawsuits, congressional findings, and high-profile corporate collapses has reignited long-standing concerns about the audit industry’s ability to confront fraud, as reported by Bloomberg Law.

December 16, 2025
Reminders for CFAs in Adhering to Compliance Standard, Client-Disclosure and Conflict Management Requirements

In 2023, the CFA Institute Board of Governors approved targeted revisions to the Standards of Professional Conduct, adding one new standard and updating two others.

December 15, 2025
FINRA Sanctions Former Merrill Broker for Unapproved Referral Payouts

The Financial Industry Regulatory Authority (FINRA) issued a six-month suspension and a $7,500 fine against former Merrill Lynch broker Jeremiah Householder after finding that he accepted referral commissions from an unapproved third-party lender.