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November 20, 2008  
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  > New York Stock Exchange
The world's largest exchange for trading stocks and bonds.
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  > Supply
A schedule of how much producers are willing and able to sell at all possible prices during some time period.
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  > Demand
The total quantity of goods and services consumers are willing and able to buy at all possible prices during some time period.
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   Financial Advisor News:

The Commission's Complaint Alleged That Todt Has Orchestrated Two Fraudulent Schemes

The Commission's Complaint alleged that Todt has orchestrated two fraudulent schemes, one of which was ongoing at the time the Complaint was filed. In the first scheme, as alleged in the Complaint, Todt and others inflated the price for the stock of Quality of Life Health Corporation (QLHC) from March 2003 until at least October 2004 by issuing press releases falsely claiming that QLHC owned approximately $60 million worth of assisted living facilities and repeating those claims on its website. Todt and others profited from the inflated price for QLHC stock, with Todt making at least $800,000 in ill-gotten gains by trading through a nominee account and by splitting profits with traders that received their QLHC stock through Todt. Todt's latest scheme, which lasted from at least November 2004 until the filing of the emergency action, involved a scheme to evade the registration requirements and issue unregistered securities of four penny stock companies quoted on the Pink Sheets website. These companies are: Tempo Financial, Inc., STB Chip Co., SutraTel Kiosk Corp. (f/k/a Urban Transfer Systems, Inc.) and Lonisson Communications Corp. (collectively, the penny stock companies). Todt's latest scheme also involved the dissemination of false and misleading information about the penny stock companies and the manipulation of the market in the stock of three of those companies. On March 28, 2005, the Commission entered orders suspending trading in the four penny stock companies' securities for a ten-day period.

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If you live in the following cities and need a Financial Advisor you should contact our Chesapeake Financial advisor as soon as possible:

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Did You Know?    
 
 
Financial advisors are employed in different areas
Approximately 38 percent of personal financial advisors are self-employed, operating small investment advisory firms, usually in urban areas. About 31 percent of personal financial advisors are employed by securities and commodity brokers, exchanges, and

 
Latest News
  Latest financial advisor news in Chesapeake and nationwide:

Jul 31, 2006 - SEC Adopts New Rules And Amendments For Fund Of Funds Investments And Disclosure
Washington, D.C. - The Securities and Exchange Commission adopted three new rules and amendments to several forms under th...
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Jul 08, 2005 - Pursuant To Section 21C Of The Securities Exchange
The Securities and Exchange Commission ("Commission") deems it appropriate that public cease-and-desist proceedings be, an...
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May 25, 2005 - Financial Advisor Responsible For The Sale Of The Mutual Fund
Our recommendation to the Securities and Exchange Commission that, in addition to providing the shareholder Tax Identifica...
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