a corporate financial planner and holder of an Australian financial securities licence issued under the Corporations Act 2001, gave financial advice to the plaintiffs, who are four separate groups of its clients
based on this financial advice the plaintiffs advanced funds into a series of recommended investments, which failed as a result of the global financial crisis
the licenced entity was deregistered and its principal made bankrupt
Case Details
Citation[2020] NSWSC 359
CourtNSWSC
JurisdictionNew South Wales
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