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Losses with Eric Kubiak of Ameriprise in Cheektowaga, NY
Timary Delorme, formerly with Wedbush Securities, Barred from Securities Industry   Have you lost money with financial advisor Timary Delorme of Los Angeles, California?  We are investigating allegations made by the Oregon Division of Financial Regulation against Timary Delorme. Oregon barred Delorme from the securities industry after she failed to respond to a complaint.  Oregon …
Read More "WARNING! Impending Investigation – TIMARY DELORME of Los Angeles, CA"
Investor Alert! Daniel Burns of Newberg, Oregon and Woodbridge investments
Cornelius Peterson, formerly with Morgan Stanley, Barred by SEC Have you lost money with financial advisor Cornelius Peterson of Boston, Massachusetts?  We are investigating allegations made by the Securities and Exchange Commission (SEC).  The SEC alleged that Peterson pleaded guilty to one count of investment adviser fraud before the United States District Court for the …
Read More "INVESTOR WARNING! Investigation of CORNELIUS PETERSON of Boston, MA"
Bradley Latting, formerly of State Farm VP Management, Subject of Oklahoma Securities Commission Action   Have you lost money with financial advisor Bradley Latting of Lawton, Oklahoma?  We are investigating allegations by the Oklahoma Securities Commission against Bradley Allen Latting. Oklahoma seeks to bar Latting from the securities industry, regarding allegations that Latting obtained power-of-attorney …
Read More "BRADLEY LATTING of Lawton, OK Steals Money from Elderly Client"
INVESTOR ALERT! Michael Reither of First Allied Securities in St. Louis, MO
Clarence McGill, formerly with GWN Securities, Barred from Securities Industry   Have you lost money with financial advisor Clarence McGill of Frisco, Texas?  We are investigating allegations made by FINRA, the Financial Industry Regulatory Authority, against Clarence L. McGill. FINRA barred McGill from the securities industry after he failed to respond to a FINRA investigation.  …
Read More "WARNING! Investigation of CLARENCE MCGILL – Frisco, TX"
News Update - Martin Batstone of Independent Financial Group in San Diego, California
Michael Gilhooly, formerly with RJJ Pasadena Securities, Barred from Securities Industry   Have you lost money with financial advisor Michael Gilhooly of South Pasadena, California?  We are investigating allegations made by FINRA, the Financial Industry Regulatory Authority, against Michael James Gilhooly. FINRA barred Gilhooly from the securities industry after he failed to respond to a …
Read More "INVESTOR ALERT! MICHAEL GILHOOLY of South Pasadena, CA BARRED"
INVESTOR ALERT! Thomas Marino of R.M. Stark & Co. in Delray Beach Florida
Mitchell Yanow, formerly with Stifel Nicolaus, Barred from the Securities Industry   Have you lost money with financial advisor Mitchell Yanow of Boca Raton, Florida?  We are investigating allegations made by FINRA, the Financial Industry Regulatory Authority, against Mitchell Toby Yanow. FINRA barred Yanow from the securities industry regarding allegations that he converted or stole …
Read More "WARNING! Investigation of MITCHELL YANOW of Boca Raton, FL"
Investigation of Linda Jay of Pruco Securities in East Brunswick, NJ
Cetera Financial Specialists Settles with FINRA Regarding  Failure to Supervise Alex P. Anderson   We are currently investigating allegations made against Cetera Financial Specialists, LLC, a Schaumburg, Illinois-based securities brokerage firm.  FINRA (the Financial Industry Regulatory Authority) brought a regulatory action against Cetera Financial Specialists, making allegations that it failed to supervise outside business activities …
Read More "INVESTOR ALERT! Investigation of ALEX ANDERSON and CETERA FINANCIAL"
INVESTOR ALERT! Leonard Charles Kinsman of Wells Fargo in Staten Island, NY
Matthew Woodard, formerly with ProEquities, Barred by SEC   Have you lost money with financial advisor Matthew Woodard of Farmington, Connecticut?  We are investigating allegations made by the Securities and Exchange Commission (SEC) against Matthew C. Woodard.  The SEC barred Woodard from the securities industry regarding allegations that he sold unregistered securities in a business …
Read More "UPDATE! Matthew Woodard of Farmington, CT BARRED"
INVESTOR ALERT! Timothy Mills of NYLife in Okemos, MI
M Holdings Securities Fined $135,000 for Supervisory Failures   M Holdings Securities, a securities brokerage firm based out of Portland, Oregon, was recently fined $135,000 for supervisory failures.  FINRA (the Financial Industry Regulatory Authority) found that between December 2013 and June 2015, M Holdings Securities had supervisory missteps, including that it: a) failed to adequately …
Read More "INVESTOR ALERT! M Holdings Securities of Portland, OR"