The Mal Practice Connection

The Mal Practice Connection

Bridging Integrity with Accountability

The Mal Practice Connection is a platform dedicated to promoting integrity and accountability in legal representation. Through education, advocacy, and fostering a culture of transparency, we strive to mitigate the risks of malpractice and uphold the highest standards of professionalism within the legal profession.

Our Mission & Vision

The Mal Practice Connection is a platform dedicated to promoting integrity and accountability in legal representation, fostering transparency and trust within the legal profession.

Equal Justice

Advocate for fairness, ensuring equitable treatment and representation for all individuals in legal proceedings.

Ethical Excellence

Uphold the highest ethical standards in legal practice, prioritizing honesty, integrity, and professionalism in all interactions.

Legal Empowerment

Empower individuals with legal knowledge and resources to assert their rights and navigate legal complexities confidently.

Community Equity

Work towards equity and justice in communities, addressing systemic inequalities and advocating for policies that promote fairness.

Accessible Advocacy

Ensure accessibility to legal services for marginalized and underserved populations, bridging gaps in legal representation and support.

Legal Renewal

Advocate for legal reforms that enhance the efficiency, fairness, and accessibility of the legal system, adapting to changing societal needs.

Latest News

Read insightful articles about "The Mal Practice Connection," exploring integrity, accountability, and transparency in legal representation, fostering trust within the legal profession.

GWG Holdings Investment Fraud

When a bond matures, you are entitled to receive the principal back, along with any accrued interest payments. However, when a company goes bankrupt or defaults on the bonds you hold, you could be left with nothing. This was the situation for many investors who invested in GWG Holdings’ L bonds, which were backed by life settlements. The alternative finance firm reportedly declared bankruptcy in 2022 and stopped paying bondholders. As a result, some people who held the company’s debt instruments are now seeking to recover their losses.

The company’s debt instruments were allegedly sold by brokerage firms that may be liable for their negligent or reckless sales practices. Those who have been harmed by the investment are able to file a civil claim against their broker, the financial advisor at their brokerage firm and/or the company.

Investors were urged to invest in the company’s “L” bonds, which were backed by life settlements. These investments were sold to individuals who wished to obtain the money from their life insurance policies before death or disability, and the companies promised to pay them a high rate of return for their money.

However, the company filed for Chapter 11 protection in 2022 and subsequently missed several interest payments on the debt instruments. The company also alleged that it was running out of cash. As a result, the debt instrument’s value plummeted and unsecured creditors are owed more than $1.6 billion in total.

Creditors argued that Brad Heppner, founder and CEO of GWG Holdings investment fraud, engaged in a Ponzi scheme to steal millions from the firm’s investors. Heppner allegedly misled investors by marketing worthless bonds, engaging in fraudulent insider trading and siphoning off company funds. Creditors filed a motion with the U.S. Bankruptcy Court in Houston alleging that the GWG board ignored warning signs and manipulated company books to make the firm seem profitable.

According to the motion, Heppner was using the company’s assets to fund his own personal and business ventures. The creditors want to take control of the firm and bring it back into a publicly traded status on Nasdaq. The president of Beneficient Company Group, an alternative financing firm with a Kansas charter that replaced GWG last year, said that creditors should support the transition to Nasdaq and avoid litigation that would undermine confidence in the company.

GWG’s balance sheet lists tangible assets of just over $700 million. However, the company’s liabilities far exceed that amount, with the majority being attributed to outstanding L Bonds.

Silver Law Group is investigating the claims of investors who lost money when their brokerage firms and financial advisors unsuitably recommended the illiquid GWG Holdings L Bonds. These investors have a right to sue for negligence, breach of fiduciary duty, and/or violations of FINRA regulations.

A Michigan financial advisor allegedly recommended the L Bonds to an elderly widow, who trusted her Centaurus Financial broker to manage her retirement funds. The septuagenarian invested about $80,000 in GWG Holdings’ illiquid L Bonds in 2018. The bond was to mature in two years and pay 5.5% interest, but the client hasn’t received a payment. The investor claimed that the advisor ignored her red flags, failed to perform due diligence and violated his/her FINRA duties.

Medical Malpractice Lawyers in Victorville, CA: Seeking Justice and Support

In Victorville, California, navigating the complexities of medical malpractice can be daunting. When faced with the aftermath of a medical error, you deserve justice and support. That’s where experienced Moseley Collins: Medical Malpractice Lawyers in Victorville, CA come into play, offering their expertise to ensure your rights are protected.

Understanding Medical Malpractice

Medical malpractice occurs when a healthcare provider deviates from the accepted standards of care, resulting in harm to the patient. In Victorville, cases of medical malpractice can range from surgical errors and misdiagnoses to medication mistakes and birth injuries. When such incidents occur, the consequences can be life-altering, leading to physical, emotional, and financial burdens for victims and their families.

Why Seek Legal Assistance?

Navigating a medical malpractice claim requires comprehensive knowledge of both medical and legal intricacies. That’s where skilled Medical Malpractice Lawyers in Victorville prove invaluable. These legal professionals specialize in advocating for victims of medical negligence, ensuring they receive the compensation they rightfully deserve.

Expertise and Experience

Victorville’s medical malpractice lawyers possess extensive experience in handling a variety of complex cases. They understand the nuances of California’s medical malpractice laws and are well-versed in the tactics employed by insurance companies and healthcare providers to minimize liability.

Compassionate Advocacy

Beyond legal expertise, Medical Malpractice Lawyers in Victorville approach each case with compassion and empathy. They recognize the emotional toll that medical negligence can inflict and provide unwavering support to clients throughout the legal process. From conducting thorough investigations to representing clients in negotiations and courtrooms, they are committed to achieving the best possible outcomes for those they serve.

Your Path to Justice

If you or a loved one has been a victim of medical malpractice in Victorville, CA, it’s crucial to seek legal guidance without delay. By consulting with a reputable Medical Malpractice Lawyer, you can take proactive steps towards securing justice and holding negligent parties accountable for their actions.


Medical malpractice incidents in Victorville, CA, demand swift and decisive action. With the assistance of skilled and compassionate Medical Malpractice Lawyers, victims can navigate the complexities of the legal system with confidence and determination. Remember, you are not alone in your pursuit of justice – support and advocacy are readily available to help you reclaim your rights and move forward towards a brighter future

Why You Should Hire a Lawyer Specializing in Personal Injury

A Lawyer specializing in personal injury is essential when another party’s negligence leads to serious injuries and damages. These may include medical bills, lost wages, property damage, pain and suffering, and emotional distress. A good Boca Raton injury attorney will fight to get you the compensation you deserve.

With a steady increase in population, the number of people driving on the roads, visiting retail stores, and needing medical care continues to rise each year. This also increases the risk of accidents, injuries, and even death. In the event of an accident, a Boca Raton personal injury lawyer can guide you through the process of filing a lawsuit to seek fair compensation for your damages.

Car Accidents

Car accidents can cause severe injuries and have a devastating impact on your quality of life. They often occur when you least expect them, and can vary in severity from minor bumps and bruises to broken bones and head trauma. A qualified Lawyer specializing in personal injury in Boca Raton car accident attorney will be able to assess your case, identify the responsible parties, and determine what the full scope of your injuries are. In addition to ensuring that you receive the maximum amount of compensation, a car accident lawyer will help you with your insurance claims and settlement negotiations.

Boating Accidents

With the ocean and lakes nearby, Boca Raton is a popular destination for many water sports and recreation activities. Unfortunately, this activity can also come with a high risk of injury, from minor cuts and bruises to severe spinal cord injuries. If you are injured in a boating accident due to the negligent actions of another party, it is important to have an experienced Boca Raton personal injury attorney on your side.

Workers’ Compensation

If you are employed in the area, chances are you are covered by workers’ compensation. However, this does not always cover all of the expenses associated with your work-related injury. A Boca Raton injury attorney will be able to review your workers’ compensation claim, determine the responsible parties, and build a strong case that supports your request for fair compensation.

Expert Testimony

An experienced Boca Raton injury lawyer will be able to draw on the expertise of other professionals to help strengthen your case and prove liability. For example, they may call upon accident reconstruction experts to perform a thorough analysis of the incident and gather crucial evidence. In addition, they may consult with medical specialists to assess your condition and provide a detailed diagnosis.

When you need a Boca Raton injury attorney, the attorneys at Rosenberg Injury Law can provide the trustworthy counsel and sensible solutions you need. The firm has the experience and resources to handle a wide variety of personal injury cases, including car accidents, motorcycle accidents, truck accidents, medical malpractice, and wrongful death. Contact the office for a free consultation today. We look forward to fighting for your rights!

The SEC Recommends Receivership For GPB Capital Holdings

The SEC and a court-appointed monitor have recommended receivership for Haselkorn & Thibaut – GPB Capital experts to protect the nearly $1B invested by 17,000 investors in the alternative investment firm that was accused of running a $1.7 billion Ponzi-like scheme. The firm sponsored a series of Regulation D private placement investments that were sold by dozens of broker-dealers.

Investors were promised distributions (think dividends) from the operations of business interests that GPB owned in limited partnerships. Those businesses included auto dealerships, garbage collection companies, and health care companies. The problem was that GPB was not generating sufficient cash flow to fund the promised distributions and instead used investor funds to pay for things like marketing and staff salaries.

According to reports, GPB ran out of money in August 2015 and was unable to pay its investors. The company then stopped filing its mandatory financial statements with the SEC and halted investor distributions. Investors also learned that the GPB’s accountant and auditor, Crowe LLP, had resigned due to perceived risks that they determined fell outside their internal risk tolerance parameters.

Despite all these issues, many of the brokers and financial advisors who sold the GPB investments continued to downplay the seriousness of the issues, and reassured their current and former client investors that a positive resolution was near. Even now, 6 months after the SEC appointed a Receiver to assess the situation, those advisors and their firms continue (and have) to downplay the current state of affairs, and assure that current or former GPB Capital Investor clients will eventually see future potential positive outcomes.

A few broker-dealers that sold the GPB offerings have already been penalized by Finra. But the SEC and receiver Joseph Gardemal are now focusing on individual brokers and financial advisors who may have a duty to their clients to perform proper diligence on the products they sell, and to make sure that such high-risk investments are suitable for the investors that they are sold to.

One of the problems with investing in GPB Capital was that the private placements were only sold to investors who met the minimum investment requirements – a 67-year-old widow, for instance, who had at least $300,000 in assets would have been eligible to invest in the automotive portfolio of the GPB Capital investments. Yet, the alleged fraudsters sold GPB to many retail investors who did not meet those minimum requirements.

The brokerage industry continues to come up short when it comes to selling these types of high-risk investments. Until the broker-dealers and financial advisors stop chasing outrageously high commissions, and they begin to perform their due diligence on these high-risk investments before they are sold to their clients, investors will continue to be defrauded.

Fair Credit Reporting Act (FCRA) Lawsuits

Whether you are a consumer seeking credit card or loan approval, an employer looking to hire or fire, or a business that needs to conduct background checks on employees, your financial future can be drastically impacted by information assembled and evaluated by consumer reporting agencies. Our firm specializes in ensuring that consumers and businesses alike are treated fairly by these entities, while also ensuring that all parties involved comply with the Fair Credit Reporting Act (FCRA) regulations.

The federal FCRA was designed to safeguard the accuracy of consumer reports used by businesses to make hiring and lending decisions. Unfortunately, errors can occur when these agencies and their information furnishers are more concerned with profits than accuracy.

Our fcra lawyer firm has been in business since 2014 and has the experience and firsthand knowledge necessary to keep you protected against unfair practices by consumer reporting agencies. Our lead attorney, Todd Higey, is a former in-house legal adviser and general counsel for multimillion-dollar companies, and will work tirelessly to protect your rights and help you maintain compliance with FCRA regulations.

If you’ve found inaccurate information on your credit report, you have the statutory right to dispute it and have the agency remove any incorrect information within 60 days of receiving your written dispute. This includes errors like identity theft, incorrect amounts of debt owed, and continued reporting of a debt that has been paid. When these types of errors are not corrected, they can prevent you from obtaining loans, mortgages, jobs, or even insurance.

FCRA lawsuits are complex, and require the guidance of a seasoned attorney with an in-depth understanding of the law and how it applies to credit reports, background checks, and other types of consumer reporting. An experienced fcra law firm can ensure that you are not being treated unfairly and can pursue the maximum compensation available for your damages.

In addition to securing the compensation you deserve, our attorneys can also take legal action against those who violate your rights under the Fair Credit Reporting Act, including a request for payment of your attorney’s fees. In most cases, the violating party will be required to pay actual damages and/or statutory damages, plus your attorney’s fees.

Contact our fcra law firm today to learn more about how we can help you fight for your rights. We offer a free consultation, and will review your case for no charge. We can also provide references from past clients who have worked with us. When choosing a lawyer to represent you in your fcra litigation, it is important that you find someone who has the right personality fit for your case. You will be working closely with this person for an extended period of time, and they will likely be given highly personal information regarding your finances and background. Choosing the wrong lawyer could lead to delays and complications in your case. We will evaluate your situation, answer your questions, and discuss your options to determine how best to proceed.

MOUD Discrimination Law Firm

The widespread denial of access to MAT for people with opioid use disorder (OUD) is unjust and violates Federal anti-discrimination laws and the United States Constitution. In many cases, the denial of MAT is based on an misunderstanding of the effectiveness and safety of these life-saving medications, which have been proven to reduce OUD death by over 50 percent. Additionally, there are often misconceptions about how to administer MAT, which can lead to improper prescriptions or improper administration. Our MOUD discrimination law firm can provide assistance to patients, their family members, and their legal advocates in fighting these injustices.

A recent lawsuit filed in Massachusetts alleged that the state’s drug court system violated the Americans with Disabilities Act (ADA) by discriminating against participants in its program who took doctor-prescribed MAT. In response, the Massachusetts Trial Court issued a policy clarifying that the Court will permit the administration of MAT as part of its OUD treatment programs. The policy also outlines steps to prevent future violations of the ADA.

Moreover, the ADA prohibits discrimination in employment, a key aspect of one’s job. It protects qualified individuals with disabilities in hiring, promotion, discharge, job training, and all other aspects of their work. Our ADA discrimination lawyer can help individuals pursue claims against employers who fail to comply with the ADA.

Our team of experienced Texas employment lawyers can help employees and job applicants who have been subjected to discrimination in the workplace. We have experience representing clients in employment matters involving discrimination based on religion, race, national origin, age, sexual orientation, pregnancy, and disability. We are familiar with all state and federal employment laws and will fight to ensure that your rights as a worker are protected.

Our Texas employment lawyers also represent employers and small businesses with questions regarding employment related matters, including employment handbooks, employee contracts, independent contractor agreements, noncompetes and covenants not to compete, the Fair Labor Standards Act (FLSA), and the Texas Payday Law. In addition, we advise our business clients on how to respond to complaints of discrimination or retaliation by employees. Our Flower Mound employment law firm serves employees and companies throughout the Dallas-Fort Worth metroplex. Contact us today to schedule a consultation with a member of our team.

Is it worth it to fight a traffic ticket in NYC?

When you obtain a traffic ticket, the consequences can be extreme. Fines, insurance costs increases, points on your driving document and feasible certificate suspension all influence your lifestyle. A growing number of drivers are hiring a New York City Web traffic Lawyer to help them battle their tickets and avoid the adverse economic influence.

Whether you are caught speeding, tailgating, running a traffic signal, or passing a stopped institution bus, a New York traffic lawyer can suggest you of the prospective repercussions and your alternatives to prevent you from paying an unneeded penalty. Oftentimes, you might not even need to show up in court. If you do make a decision to appear, the lawyer can discuss with prosecutors and argue on your behalf to have fees decreased or disregarded.

A Web traffic Ticket Lawyer can additionally avoid the build-up of unneeded driving points. In the state of New york city, there is a system in place that tracks drivers that collect 11 or even more factors within an 18 month period. If you have too many factors, the New York DMV will certainly send you a notice of license suspension and will require you to pay a significant chauffeur responsibility fee. A skilled website traffic attorney can assist you minimize the number of factors on your record by convincing the DMV to take them off after you complete a state-approved factor decrease program.

New York City Website Traffic Lawyers NYC Traffic Lawyer have a strong background in criminal regulation and an extensive understanding of local regulations. They are likewise adept at discussing with district attorneys and know just how to craft persuasive disagreements on your behalf. Commonly they can have tickets decreased to non-moving infractions such as car parking that don’t carry the threat of insurance hikes and factor build-up. They can also assist you do away with serious website traffic offenses like reckless driving that are categorized as misdemeanors and can result in prison time.

Having a traffic legal representative to aid you combat your ticket in New York is crucial because if you turn up for your hearing, you will be positioned on a checklist and have no concept how much time you will certainly await the opportunity to offer your case before an Administrative Regulation Judge (ALJ). This procedure can be aggravating and overwhelming for individuals that are representing themselves. It is not uncommon for a New York Traffic Legal representative to be able to jump the queue and safeguard you a slot before your hearing.

The New York City Website Traffic Ticket Lawyers at Stephen Bilkis & Associates are committed to assisting and sustaining individuals via the procedure of testing a web traffic infraction. With the risk of expensive fines, insurance policy hikes and feasible license suspension, it is important to understand your options and act swiftly to avoid pricey charges. Get in touch with us today to arrange a totally free consultation with one of our NY Traffic Attorney. We will certainly evaluate the details of your case and job to resolve your website traffic matter with minimal interruption to your life.

New York Traffic Ticket Lawyers
1 Fordham Plaza
Bronx, NY 10458
(646) 388-4871


Shedding Light on Legal Malpractice: A Closer Look at Accountability and Prevention

In the intricate tapestry of the legal realm, where justice is sought and rights are defended, there exists a darker thread—a thread of malpractice that can unravel the fabric of trust between attorneys and their clients. Legal malpractice, though not often spoken of, is a reality that cannot be ignored—a reality that demands understanding, accountability, and proactive measures for prevention.

Legal malpractice, at its core, denotes a breach of the duty of care owed by attorneys to their clients. It encompasses a wide array of misconduct, negligence, and errors that can lead to harm, ranging from financial loss to missed opportunities for justice. Yet, despite its prevalence, legal malpractice often remains shrouded in ambiguity, with many clients unaware of their rights or unsure of how to identify and address instances of malpractice.

One of the key challenges in combating legal malpractice lies in establishing accountability. Unlike other professions where metrics for performance evaluation are more tangible, such as medicine or engineering, the standards of care in the legal field can be subjective and open to interpretation. As such, determining when an attorney’s actions constitute malpractice requires a careful examination of the facts and circumstances surrounding the case—a task that can be daunting for clients and legal professionals alike.

Moreover, the pursuit of accountability in legal malpractice cases is often hindered by various obstacles, including the statute of limitations, the burden of proof, and the reluctance of clients to pursue legal action against their former attorneys. These barriers can leave victims of malpractice feeling powerless and disenfranchised, unable to seek redress for the harm they have suffered.

However, despite these challenges, there is reason for hope. By shining a light on legal malpractice and promoting transparency, accountability, and ethical conduct within the legal profession, it is possible to mitigate the risks of malpractice and uphold the integrity of the legal system.

One way to address legal malpractice is through ongoing education and training for legal professionals. By equipping attorneys with the knowledge and skills necessary to navigate complex legal issues and ethical dilemmas, we can reduce the likelihood of errors and misconduct occurring in the first place. Additionally, promoting a culture of accountability and peer review within the legal community can help to identify and address potential instances of malpractice before they escalate into legal disputes.

Furthermore, clients play a crucial role in preventing legal malpractice by being proactive in their interactions with their attorneys. This includes asking questions, seeking clarification on legal matters, and staying informed about the progress of their case. By actively engaging with their legal representation, clients can help to ensure that their rights are protected and that their interests are being served to the best of their attorney’s ability.

In conclusion, legal malpractice is a complex and multifaceted issue that requires a concerted effort from all stakeholders to address and prevent. By promoting accountability, transparency, and ethical conduct within the legal profession, and by empowering clients to advocate for their rights, we can work together to uphold the principles of justice and integrity that lie at the heart of the legal system. Only by shedding light on legal malpractice and taking proactive measures to address it can we ensure that the trust placed in legal professionals is well-founded and that justice prevails for all.

Navigating the Shadows: Understanding and Addressing Legal Malpractice

In the intricate dance of the legal world, where justice and rights intertwine, there exists a shadow realm—a realm where the trust bestowed upon legal practitioners can be betrayed, leading to consequences both grave and far-reaching. This shadow realm is that of legal malpractice, a term that strikes fear into the hearts of clients and casts doubt upon the integrity of the legal profession. But what exactly is legal malpractice, and how can it be understood and addressed?

Legal malpractice, in its essence, refers to the failure of an attorney to meet the standard of care expected in their profession, resulting in harm to their client. This harm can take many forms, from financial loss to missed opportunities for justice, and can leave a lasting impact on the lives of those affected. At its core, legal malpractice represents a breach of trust—a betrayal of the sacred duty that lawyers hold to represent their clients diligently and competently.

The landscape of legal malpractice is vast and varied, encompassing a multitude of scenarios and circumstances. From missed deadlines and procedural errors to conflicts of interest and breaches of confidentiality, the manifestations of legal malpractice are as diverse as the legal issues themselves. Yet, despite this diversity, there exists a common thread—a thread of negligence, incompetence, or misconduct that runs through each instance of malpractice, tarnishing the reputation of the legal profession as a whole.

But understanding legal malpractice is only the first step. The real challenge lies in addressing it—in holding those responsible to account and in seeking redress for those who have been wronged. This task is fraught with complexity, as legal malpractice cases often involve nuanced legal arguments, conflicting evidence, and high stakes for all parties involved. Moreover, the very nature of legal malpractice—its reliance on the trust and expertise of legal professionals—can make it difficult for clients to recognize when they have been wronged, let alone take action against their former attorneys.

In the pursuit of justice, however, there is hope. Through diligent investigation, skilled advocacy, and the relentless pursuit of truth, victims of legal malpractice can find solace and restitution for the harm they have suffered. This process may be arduous and fraught with obstacles, but it is a necessary journey—one that reaffirms the principles of accountability, integrity, and justice that lie at the heart of the legal profession.

Furthermore, the legal community itself has a role to play in addressing legal malpractice and preventing its occurrence in the future. By promoting ethical conduct, providing ongoing training and education, and fostering a culture of transparency and accountability, legal practitioners can uphold the highest standards of professionalism and integrity. Moreover, regulatory bodies and professional associations have a responsibility to ensure that attorneys adhere to these standards, imposing sanctions and disciplinary measures when necessary to maintain the integrity of the profession.

In conclusion, legal malpractice is a shadow that looms over the legal profession—a reminder of the consequences that can arise when trust is betrayed and duty is neglected. Yet, it is also an opportunity—a call to action for legal practitioners, regulators, and clients alike to uphold the principles of accountability, integrity, and justice that underpin our legal system. By understanding the complexities of legal malpractice and taking proactive steps to address and prevent it, we can ensure that the trust placed in legal professionals is never misplaced, and that justice prevails for all.

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