I'm a journalist based in Brooklyn, and I'm trying to obtain information on Richard A. Preisig, Jr., whom the SEC barred from serving as a consultant to brokers as well as from promoting stocks in the 2001 public administrative proceedings described at the following link:
I'm inquiring because I have reason to believe that Mr. Preisig is again engaging in business practices that violate several New York laws, and I'm curious to know what restrictions he may be under by way of the actions that the SEC took against him in 2001. I'd also like your opinion, if possible, as to which agency I should contact regarding his latest operations, as they don't seem to fall under the purview of the SEC and appear to involve activity conducted in a number of different jurisdictions.
Please let me know if you can provide me with any assistance with this, or if you have any questions.
Regards,
Barrett Brown 37 Park Street #2 Brooklyn, NY 11206 512-560-2302