Are you aware of insider trading, market manipulation, or fraudulent financial reporting? Securities fraud undermines investor trust and the integrity of financial markets—and whistleblowers play a crucial role in exposing it.

In this video, former FBI Special Agent and founding attorney Jason T. Brown of Brown, LLC breaks down how to report securities fraud safely and effectively under the SEC Whistleblower Program. Discover your rights, the protections you’re entitled to, and how you may be eligible for a significant financial reward if your tip leads to a successful enforcement action.

00:00 – Introduction
01:45 – What Is Securities Fraud?
01:54 – Market Manipulation Explained
02:01 – Understanding Accounting Fraud
02:09 – What Is a Ponzi Scheme?
02:19 – How to Know If What You Witness Is Securities Fraud
02:32 – Overview of the SEC Whistleblower Program
02:42 – How SEC Whistleblower Awards Work
02:56 – Confidentiality and Legal Protections for Whistleblowers
03:26 – The Right Way to Report Securities Fraud
04:40 – Why You Need an SEC Whistleblower Law Firm

At Brown, LLC, we’ve helped whistleblowers recover hundreds of millions for the government while protecting their identity and future. If you have inside information about securities fraud, contact us for a free, confidential consultation.

Visit: https://ifightforyourrights.com/
Email: info@jtblawgroup.com
Call: (877) 561-0000

Disclaimer: No attorney-client relationship is established by watching this video. This video is for informational purposes only and should not be taken as legal advice. This may be considered attorney advertising.

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