LegalCaseDocs.com
shopping cart  
  |     
Search
 

 
New Visitors


 VeriSign Secure Site

 Get Adobe Reader

SEC v JOSEPH P. MEDSKER, et al Click to find out why . . .



Keywords & Phrases
CaseNo: LR-15104, CourtCode: DIS, CourtName: ADVISORY CORP., (UNITED STATES DISTRICT COURT FOR THE SOUTHERN, Defendant: Joseph P. Medsker, Unified Financial Services Agency Corp. and Unified Financial Services Advisory Corp., Plaintiff: SEC, State: OH Ohio, UniqueCaseRef: SEC>LR-15104, Investment, Commission, Securities, Medsker, Advisory, Ohio Partnerships, United States, Exchange Commission, Unified Financial Services, Agency, District, North Port, Investment Adviser, Commission Alleges, Scheme, Misrepresenting, Act, Joseph, States District Court, Complaint, Relief, Omitting, State Material Facts, Golf, Unit Investment, Ohio Partnerships Lost, Promulgated Thereunder, Disgorgement, Ill-gotten Gains , ContentID: 120242954

Case Documents
1 1996-10-02 SEC LITIGATION RELEASE
[ see first page and extracted highlights below  ] ItemID: 106048
2 pages
TXT
Total Documents: 1 document , 2 pages
Price: $ 19.95


IVESLCD01 KGI0001
 
 

 Forgot your password?


1 . SEC LITIGATION RELEASE

EXTRACTED KEY WORDS
COMMISSION
SECURITIES
MEDSKER
ADVISORY
OHIO PARTNERSHIPS
UNITED STATES
EXCHANGE COMMISSION
UNIFIED FINANCIAL SERVICES
AGENCY
DISTRICT
NORTH PORT
INVESTMENT ADVISER
COMMISSION ALLEGES
SCHEME
MISREPRESENTING
DEFENDANTS
ACT
JOSEPH
STATES DISTRICT COURT
COMPLAINT
RELIEF
OMITTING
STATE MATERIAL FACTS
GOLF
UNIT INVESTMENT
OHIO PARTNERSHIPS LOST
PROMULGATED THEREUNDER
DISGORGEMENT
ILL-GOTTEN GAINS
==========================================START OF PAGE 1======

         UNITED STATES SECURITIES AND EXCHANGE COMMISSION

Litigation Release No. 15104 / October 2, 1996

Securities and Exchange Commission v. Joseph P. Medsker, Unified
Financial Services Agency Corp., and Unified Financial Services
Advisory Corp., (United States District Court for the Southern
District of Ohio, Case No. C3-96-381)

     The Securities and Exchange Commission announced that on
September 30, 1996, the Securities and Exchange Commission
filed its Complaint for Permanent Injunction and Other Equitable
Relief in the United States District Court for the Southern
District of Ohio against Joseph P. Medsker (Medsker), Unified
Financial Services Agency Corp. (Agency), his unregistered
investment adviser, and Unified Financial Services Advisory Corp.
(Advisory), a registered investment adviser.  In its Complaint,
the Commission alleges that from May 1990 through at least
November 1994, Medsker, Agency and Advisory engaged in a scheme
to defraud involving the offer and sale of unregistered
securities, acting as an unregistered investment advisor,
misrepresenting and omitting to state material facts to
investors, including advisory clients, churning and covering up
the scheme.

     Specifically, the Commission alleged that Medsker, Agency
and later Advisory offered and sold more than $2 million in
unregistered securities in two Ohio partnerships to more than 200
investors by misrepresenting and omitting to state material facts
regarding, among other things, the risks and returns associated
with the investments in the Ohio partnerships.  Unbeknownst to
investors, Medsker invested much of the offering proceeds in his
own speculative, financially troubled golf course syndication,
North Port Golf Associates I, L.P. (North Port), for which he
received substantial commissions.  North Port eventually filed
for bankruptcy.  Medsker also opened a trading account for one of
the partnerships, which he then churned. The defendants covered
up their scheme by sending misleading statements and updates to
investors, misrepresenting the value of the Ohio partnerships'
investments in North Port and the value of a unit investment in
the Ohio partnerships.  As a result of these activities,
investors in the Ohio partnerships lost or stand to lose much or
all of their investment.

     The Commission further alleges that the defendants' actions
violated Sections 5(a), 5(c) and 17(a) of the Securities Act of
SNIPPETS:
  • UNITED STATES SECURITIES AND EXCHANGE COMMISSION
  • Securities and Exchange Commission v. Joseph P. Medsker, Unified Financial Services Agency
  • The Securities and Exchange Commission announced that on September 30, 1996, the Securities
  • District of Ohio against Joseph P. Medsker, Unified Financial Services Agency Corp., his
  • In its Complaint, the Commission alleges that from May 1990 through at least November 1994,
  • Specifically, the Commission alleged that Medsker, Agency and later Advisory offered and sold
  • Unbeknownst to investors, Medsker invested much of the offering proceeds in his own
  • The defendants covered up their scheme by sending misleading statements and updates to
  • As a result of these activities, investors in the Ohio partnerships lost or stand to lose
  • The Commission further alleges that the defendants' actions violated Sections 5, 5and 17of
  • The Commission also seeks disgorgement of ill-gotten gains from the defendants and the
  •    |