Shustak Reynolds & Partners E-News – Summer 2017

Erwin Shustak Selected as One of the Best Lawyers in America for 2018 Erwin Shustak Selected as One of the Best Lawyers in America for 2018  We are pleased to announce that our partner and firm founder, Erwin Shustak, has been selected by his peers for inclusion in Woodward & White’s 24th edition (2018) of […]

Erwin ShustakManaging Partner, Shustak Reynolds & Partners, P.C

Why Choose Parker MacIntyre?

Parker MacIntyre, an Atlanta based law firm, practices in the areas of securities, securities regulations, investment adviser regulation, broker-dealer regulation, litigation and arbitration. Some of our attorneys also spent many years working as securities regulators examining firms, hearing and ruling on customer complaints, and bringing regulatory actions in court. Our RIA compliance lawyers therefore know […]

Oksana Howard joins Colman Coyle’s Company Commercial department

Colman Coyle is delighted to announce the arrival of Oksana Howard to the Company Commercial department and Head of Russia, Ukraine & CIS Desks for the firm. Oksana has significant experience of running transactions from outset to completion, acting for a large pool of English and international clients across various industries and geographical areas, including start-ups […]

Oksana HowardPartner, Colman Coyle

Erwin Shustak recieves IR Global’s annual Gold Member Status award!!

We are pleased to announce that our firm, and Managing Partner Erwin Shustak, has received IR Global’s annual Gold Member Status award for our long-term commitment to, and involvement with, IR Global over the past five years. Pictured are Erwin Shustak, partners Jonah Toleno and George Miller, and senior associate Jessica Mackaness. IR Global is […]

Erwin ShustakManaging Partner, Shustak Reynolds & Partners, P.C

SEC Charges Investment Adviser and his Advisory Firm with Making Fraudulent Misrepresentations to Prospective Investors and Clients

On April 17, 2017, the Securities and Exchange Commission (“SEC”) filed a complaint in the United States District Court for the Southern District of New York against Justin D. Meadlin (“Meadlin”), an investment adviser, and Hyaline Capital Management, LLC (“Hyaline”), his advisory firm.  The complaint alleges that Meadlin and Hyaline made fraudulent misrepresentations and omitted material facts in order […]

SEC Settles Charges with Barclays Capital for Overcharging Clients

On May 10, 2017, the Securities and Exchange Commission (“SEC”) issued an Order Instituting Administrative and Cease-and-Desist Proceedings (“Order”) against Barclays Capital Inc. (“Barclays Capital”).  The Order alleges that Barclays Capital, in its capacity as a dually-registered investment adviser and broker-dealer, overcharged advisory clients in the course of its wealth and investment management business.  In conjunction with the Order, […]