World Group Securities Explained

World Group Securities
Type:Subsidiary
Industry:Financial services
Founder:World Marketing Alliance
Hq Location City:Delaware
Hq Location Country:United States
Area Served:United States
Products:Purchase, sale, and brokerage of securities
Owner:Aegon
Parent:World Financial Group

World Group Securities (WGS) is an American broker-dealer that provides exclusive services to World Financial Group a multi-level marketing financial and insurance services company. WGS is a subsidiary of the Dutch-owned AEGON insurance Group. WGS has been involved in a number of lawsuits with state regulators alleging the selling of unsuitable products to elderly people.

History

World Group Securities was incorporated in Delaware, USA on February 6, 2001, in order to replace World Marketing Alliance Securities (WMAS) as servicing broker-dealer when AEGON bought out the book of business generated by World Marketing Alliance (WMA) and reassigned it to the newly created World Financial Group.

Business and operations

WGS is registered with the Financial Industry Regulatory Authority (FINRA) to sell securities through World Financial Group (WFG) associates in all 50 states plus Washington, D.C. and Puerto Rico under the Central Registration Depository (CRD) number 114473.[1] Its U.S. Securities and Exchange Commission (SEC) number is 8-53428.[1] WGS allows only properly licensed and registered WFG representatives to represent it.

Its registered types of business include:

  1. Broker or dealer selling corporate debt securities (for example, bonds)
  2. Broker or dealer retailing corporate stocks over-the-counter
  3. Government securities broker
  4. Mutual fund retailer, some of which are affiliated with WGS
  5. Municipal bonds broker
  6. Non-exchange member arranging for transactions in listed securities by exchange member
  7. Broker or dealer selling variable life insurance contracts or annuities, some of which are affiliated with WGS

Lawsuits

Some state securities officials, including those in Iowa, Alabama, Missouri, Utah, and Minnesota, have filed lawsuits to bar inappropriate sales practices by World Financial Group (WFG) and World Group Securities (WGS).[2] [3] In addition, a number of customers have filed private arbitration claims.[4]

Notes and References

  1. Web site: BrokerCheck - Find a broker, investment or financial advisor. brokercheck.finra.org.
  2. Web site: Missouri Securities :: Mark Andrew McEwen, CRD# 4613500 : Case AP-09-28.
  3. Web site: Petition to Revoke License . 2011-03-19 . 2016-03-05 . https://web.archive.org/web/20160305044949/http://www.securities.utah.gov/dockets/06007801.pdf . dead .
  4. http://www.stockbrokerfraudblog.com/2008/06/state_regulators_investigate_w.html State Regulators Investigate World Financial for Deceptive Sales Practices :: Stock Broker Fraud Blog
  5. Web site: Monthly Disciplinary Actions December 2004 | FINRA.org. www.finra.org.
  6. Web site: Bloomberg Politics - Bloomberg. September 23, 2023. Bloomberg.com.
  7. Web site: Dutch insurer's U.S. unit draws scrutiny from regulators - The New York Times. https://web.archive.org/web/20080531211002/http://www.iht.com/articles/2008/05/28/business/regs.php. dead. May 31, 2008.
  8. Web site: Investor News. www.sos.mo.gov.
  9. Web site: Missouri Securities :: World Group Securities, Inc. : Case AP-06-48.
  10. Web site: Brokerage Firm Agrees to Sanctions for Permitting Misleading "Free Lunch" Seminars . 2023-03-23 . www.securities.state.ut.us . https://web.archive.org/web/20110727135712/http://www.securities.state.ut.us/press/worldgroup.pdf . July 27, 2011.
  11. Web site: Wayback Machine. https://web.archive.org/web/20101113215854/http://securities.utah.gov/dockets/06008002.pdf . 2010-11-13 .
  12. Web site: Stipulation and Consent Order . 2011-03-17 . 2015-09-24 . https://web.archive.org/web/20150924095946/http://www.securities.utah.gov/dockets/06007802.pdf . dead .
  13. Web site: In the matter of World Group Securities, Inc., et al.. 2023-09-24.
  14. Web site: ORDER INSTITUTING ADMINISTRATIVE AND CEASE-AND-DESIST PROCEEDINGS, PURSUANT TO SECTION 8A OF THE SECURITIES ACT . 2023-09-24.
  15. http://investorswatchdog.com/blog/investorswatchblog/?p=1365 Another Promissory Note Ponzi? | Investor's Watchblog
  16. Web site: SEC.gov | Edward A. Allen, David L. Olson, and A and O Investments, LLC. www.sec.gov.
  17. Web site: Securities Fraud Blog.
  18. Web site: World Group Investigation. https://web.archive.org/web/20110710141257/http://www.dmlaws.com/StockbrokerMisconduct/World_Group_Investigation.aspx. dead. July 10, 2011.
  19. Web site: SEC.gov | Kederio Ainsworth, Guillermo Haro, Jesus Gutierrez, Gabriel Paredes, and Angel Romo. www.sec.gov.
  20. Web site: Complaint.
  21. Web site: SEC News Digest (Issue 2010-220; November 22, 2010). www.sec.gov.
  22. Web site: ORDER INSTITUTING ADMINISTRATIVE PROCEEDINGS PURSUANT TO SECTION 15(b) OF THE SECURITIES EXCHANGE ACT. 2023-09-24 .