Close Menu
Free Consultation: 888-976-6111

Author Archives: chase@carlson-law.com

Carlson Law Represents Archie Block Client Against Buckman, Buckman, & Reid

By Chase Carlson |

Carlson Law is representing a former client of Archie Block, a Little Silver, New Jersey-based financial advisor licensed with Buckman, Buckman, & Reid, Inc. Our firm currently has a pending arbitration for a customer based in New York. Our claim alleged that Block churned the accounts of our client, a 93-year-old man with declining… Read More »

Facebook Twitter LinkedIn

Carlson Law Represents Joel Minner Client Against Avantax Investment Services

By Chase Carlson |

Carlson Law is representing a former client of Joel Minner, a Clarksville, Tennessee-based financial advisor formerly licensed with Avantax Investment Services, Inc. He is now licensed with American Global Wealth Management, Inc. Our firm currently has a pending arbitration for a New York-based customer. The arbitration, which was filed in January of 2025, alleges… Read More »

Facebook Twitter LinkedIn

Carlson Law Represents Francis Schiavetti Client Against Stoever, Glass & Company Inc.

By Chase Carlson |

Carlson Law is representing a former client of Francis “Fran” Schiavetti, a Boca Raton-based financial advisor formerly licensed with Stoever, Glass & Company Inc. Schiavetti is a registered representative who was registered with Stoever from approximately October 2018 through December 2023. He is now licensed with A.G.P. / Alliance Global Partners. Our firm currently… Read More »

Facebook Twitter LinkedIn

SEC Charges Against Arete Wealth: Zona Energy Fraud

By Chase Carlson |

The Securities and Exchange Commission recently announced charges against Arete Wealth and three of its former personnel: Joey Miller, Jeff Larson, and Randy Larson. The regulator has also filed charges against the firm’s Chief Compliance Officer, UnBo Chung, also known as Bob Chung. The charges allege fraud, registration violations, aiding and abetting record-keeping violations,… Read More »

Facebook Twitter LinkedIn

Lester Hamrick: MML Advisor Lands $100K-$500K Complaint

By Chase Carlson |

Tallahassee, Florida financial advisor Lester Hamrick (CRD# 5208155) recommended an unsuitably risky investment strategy, according to an investor complaint. Financial Industry Regulatory Authority records show that he is registered as a broker and an investment advisor with MML Investors Services, also known as MassMutual.

Facebook Twitter LinkedIn

Mike Lickiss: Ex-Arkadios Advisor Faces $2.3mm Complaint

By Chase Carlson |

UPDATE: Carlson Law is representing a former client of Mr. Lickiss who lost approximately $1 million investing in promissory notes offered by Mr. Lickiss’s father. Multiple investor complaints against Danville, California financial advisor Mike Lickiss (CRD# 5135936) allege misconduct in connection with investments recommended by his father, Edwin Lickiss. Financial Industry Regulatory Authority and… Read More »

Facebook Twitter LinkedIn

Adam Brown: $350K Complaint Against St. Bernard Financial Advisor

By Chase Carlson |

Jonesboro, Arkansas financial advisor Adam Brown (CRD# 4905935) recently received an investor complaint alleging that his advice resulted in six-figure damages. Financial Industry Regulatory Authority records show that he is registered as a broker and an investment advisor with St. Bernard Financial Services, doing business as Banks and Brown.

Facebook Twitter LinkedIn

Angelo Piccone: FINRA Suspends Piccone Wealth Advisor

By Chase Carlson |

Former Pittsford, New York financial advisor Angelo Piccone (CRD# 1401761) has been sanctioned and suspended in connection with alleged rule violations. Financial Industry Regulatory Authority records show that he was previously registered as a broker with IBN Financial Services, doing business as Piccone Wealth Management.

Facebook Twitter LinkedIn

Patrick Maguire: $1.2mm Complaint Against Greenberg & Rapp Advisor

By Chase Carlson |

A recent investor complaint against Morristown, New Jersey financial advisor Patrick Maguire (CRD# 4892680) alleges that his conduct resulted in damages exceeding $1 million. Financial Industry Regulatory Authority records show that he is registered as a broker and an investment advisor with M Holdings Securities, as well as a representative of Greenberg & Rapp.

Facebook Twitter LinkedIn

Carolyn Wyatt: Arrowhead Wealth Advisor Received $120K Complaint

By Chase Carlson |

Glendora, California financial advisor Carolyn Wyatt (CRD# 4071929) recently received an investor complaint alleging that her conduct resulted in six-figure damages. Financial Industry Regulatory Authority records show that she is registered as a broker and an investment advisor with Western International Securities, doing business as Arrowhead Wealth Advisors.

Facebook Twitter LinkedIn
Contact Us For A Free Case Evaluation
protected by reCAPTCHA Privacy - Terms
Latest Blog Posts
  • William Sandeman: FINRA Bars Ex-Wedbush Advisor

    Former Seattle, Washington financial advisor William Sandeman (CRD# 831384) was recently sanctioned and barred in connection with alleged rule violations....

    Read More
  • Philip Pike: $300K Complaint Against Herbert J. Sims Advisor

    Boca Raton, Florida financial advisor Philip Pike (CRD# 5695273) allegedly recommended unsuitable investments, according to a recent investor complaint. Financial...

    Read More
  • Timothy Walsh: Xenith Advisor Sanctioned over Solaredge Strategy

    Fort Worth, Texas financial advisor Timothy Walsh (CRD# 4666856) was recently sanctioned in connection with alleged rule violations. Financial Industry...

    Read More
  • Andrew Adderly: SEC Investigates Broad Street Capital Advisor

    Holmdel, New Jersey financial advisor Andrew Adderly (CRD# 4388648) is under investigation by the Securities and Exchange Commission in connection...

    Read More
  • Previous
  • Next