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Re: SupaMario910 post# 47348

Friday, 12/25/2009 10:44:29 PM

Friday, December 25, 2009 10:44:29 PM

Post# of 135222
So I am assuming are you saying MM's are people too? If I misunderstood you please let me know as it was not clear.

Why would you put restrictions on a stock that looked to have a rebound after bouncing off the last support level. wouldn't this bounce put the covering of FTD's at risk?

How did that save my money? how many are stuck in this or sold in panic paying more commissions to Scottrade while losing money because of their actions, and you wish to take their word for it with nothing to prove it and when pressed the truth comes out that it had nothing to do with HESG. Yet no Manager is professional enough to control what is being said on the phone lines in the broiler house type customer service centers.

How come they can just make this decision with out presenting anything to back up their decision. Why do they not allow you to sell out of the stock without paying a commission to show that they are a least being neutral and have nothing to gain. Wouldn't that be the proper course of action. Or how about signing a waiver if you wish to continue to buy the stock.

How is it a risk to them as The MM that sells them the stock is on the hook to Scottrade and they can sue the MM if that fail to deliver that share. Why didn't Scottrade alert the SEC and ask for a freeze put on all brokers and MM as it is in their powers to request. When Lehman Brother under from NSS's did Scottrade put a restriction on that stock to protect is't investors?

The perfect example of this else where in the world would be a judge in the middle of the trail saying "after looking at evidence that niether you the Defense Attorney and you the Jury get to see, we the Jugded and the prosecutor have decided the defendant is guilty and there is not further need for a trail, case over"

Please anwer these questions first and then I will accept your premise that ST and TDAT are the good guys.