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Aug 18, 2015 - Annuities by |

Transamerica Life Insurance Company Raises Cost of Insurance Charges on Universal Life Insurance Products

ATTORNEY NEWSLETTER Consumers should be aware that insurance companies can raise the Cost of Insurance (COI) rates on non-guaranteed life insurance products, resulting in higher monthly policy charges. When there is a change in expectations as to future experience, insurance companies can increase the current COI rates to no greater […]

Aug 17, 2015 - Annuities Fraud by |

Bay Area Law Enforcement Taking Steps to Combat Growing, Underreported Issue of Financial Elder Abuse

ATTORNEY NEWSLETTER Seniors lose an estimated $36.5 billion annually nationwide to elder abuse, according to a recent report from San Francisco-based True Link Financial. In any given five-year period, 37 percent of the elderly population is affected by financial elder abuse. Financial elder abuse is widespread but among the most […]

Aug 11, 2015 - Evans Law Firm by |

SEC Issues Clarifications on Whistleblower Protections

ATTORNEY NEWSLETTER The Securities and Exchange Commission issued guidance this week regarding their whistleblower protections. This reinforced their stance that whistleblowers are protected against retaliation even if they report internally within their company, rather than to the agency, first. The Dodd-Frank Act, which created the SEC whistleblower program, had whistleblower […]

Aug 10, 2015 - Evans Law Firm by |

Whistleblower Helps Stop Doctor from Mistreating Cancer Patients, Committing Medicare Fraud

ATTORNEY NEWSLETTER Thanks to whistleblower George Karadsheh, a doctor who was improperly giving patients chemotherapy was stopped. Dr. Farid Fata, a Michigan doctor, was recently sentenced to 45 years in jail. According to prosecutors, Fata mistreated over 500 patients. In some cases, he was administering chemotherapy to people who did […]

Aug 7, 2015 - Evans Law Firm by |

FINRA Arbitration Panel Orders Morgan Stanley to Pay $2.4 Million to Former Clients

ATTORNEY NEWSLETTER A Financial Industry Regulatory Authority (FINRA) arbitration panel recently ordered Morgan Stanley to pay $2.4 million to a group of physicians and their family members. The physicians had accused former Morgan Stanley broker Steven Mark Wyatt of unauthorized and excessive stock-market trading. According to the lawyer for the […]

Filing SEC Whistleblower Claims

The Securities Exchange Commission (SEC) governs the securities law and how stocks and securities are traded and handled in the country’s economic market. Any violations are strictly governed by the SEC and the Commodity Futures Trading Commission (CFTC) and can be penalized with sanctions, fines and even charges.

Medical Malpractice Versus Elder Abuse

Nursing homes are attractive living options for older Californians who may not want to live alone or may need medical attention and hands-on assistance fairly regularly. Nursing homes provide a 24/7 support system, complete with healthcare professionals and on-call doctors and nurses, to make residents comfortable and take care of […]

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"After a year of frustration working with the insurance company..my husband and I contacted Evans Law Firm. What a relief...within a month we had come to a resolution that was exceptable by all parties...THANK YOU EVANS LAW FIRM!"
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