Close Menu
Free Consultation: 888-976-6111

Craig Siegel: Complaints Against New York City Financial Advisor

Settled and pending investor complaints against former New York City broker Craig Siegel (CRD#: 5759415) allege conduct including suitability violations, negligence, breach of contract, churning, and more. Siegel is a former representative of Portfolio Advisors Alliance, according to information drawn from Financial Industry Regulatory Authority records.

A pending 2018 complaint alleges that as a representative of Portfolio Advisors Alliance, he made unsuitable investment recommendations, breached regulatory requirements, breached his fiduciary duty, breached contract, acted negligently and grossly negligent, and churned investments between July 2013 and August 2017. The complaint alleges unspecified damages.

A pending 2018 complaint alleges that as a representative of Portfolio Advisors Alliance, he engaged in excessive trading, churned investments, recommended unsuitable trades, and failed in his supervisory duties. The complaint alleges damages of $99,300.56.

A pending 2018 complaint alleges that as a representative of Portfolio Advisors Alliance, he made unsuitable investment recommendations, breached his fiduciary duty, breached contract, unsuitably concentrated investments, failed in his supervisory duties, and acted negligently in connection to investments in common and preferred stock products. The complaint alleges damages of $240,463.93.

In April 2019 FINRA suspended Craig Siegel in connection to allegations he failed to respond to a FINRA request for information. He was suspended from associating with any FINRA member in any capacity; the suspension began on May 10, 2019 and lifted on July 16, 2019.

Craig Siegel is currently not registered as a broker or investment advisor. His employment history includes Portfolio Advisors Alliance in New York, New York and John Thomas Financial in New York, New York. He currently holds zero state licenses and has passed three securities industry qualification examinations: the Uniform Securities Agent State Law Examination (Series 63), the Securities Industry Essentials Examination (SIE), and the General Securities Representative Examination (Series 7).

Facebook Twitter LinkedIn
Contact Us For A Free Case Evaluation
protected by reCAPTCHA Privacy - Terms
Latest Blog Posts
  • Frank Hill: $500K Complaint Against Meritrust Advisor

    Louisville, Kentucky financial advisor Frank Hill (CRD# 2208115) allegedly misrepresented and recommended an unsuitable investment, according to a recent investor...

    Read More
  • Tami Wihlen: Excel Securities Advisor Faces $379K Complaint

    Rochester, New York financial advisor Tami Wihlen (CRD# 2712926) recently received an investor complaint alleging that her conduct resulted in...

    Read More
  • Anthony Jovanovich: REIT Complaint Against Wintrust Advisor

    Elgin, Illinois financial advisor Anthony Jovanovich (CRD# 2948544) has received multiple investor complaints alleging that he recommended unsuitable investments. Financial...

    Read More
  • Ralph Jackson: Morgan Stanley Fires Sports & Entertainment Advisor

    Former Los Angeles financial advisor Ralph Jackson (CRD #1569213) was recently terminated by his member firm in connection with alleged...

    Read More
  • Previous
  • Next