Wednesday, December 10, 2014 7:05:25 AM
Why didn't FINRA or the SEC question what they just did to the shareholders of ARSC with this rip off of reducing our share numbers but... also destroy our valuation to 1 tenth of the original investment?
How can FINRA or the SEC approve such actions by Frank and Bob in the first place...are they not required to sort out such scam artist/activity?
JMHO
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