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Bill Addison: Community Financial Advisor Faces $700K Complaint

By Chase Carlson |

Columbia, South Carolina financial advisor Bill Addison (CRD# 6152328) allegedly recommended unsuitable investments, according to a recent investor complaint. Financial Industry Regulatory Authority records show that he is a broker with LPL Financial and an investment advisor with Independent Advisor Alliance, doing business as First Community Financial Consultants.

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Spencer Miller: Private Placement Complaint Against Merrill Advisor

By Chase Carlson |

Westlake Village financial advisor Spencer Miller (CRD# 6273107) recently received an investor complaint alleging his advice resulted in losses. Records provided by the Financial Industry Regulatory Authority show that he is a broker and an investment advisor with Merrill Lynch. He is also registered with the firm’s office in Boise, Idaho.

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Randall Mason: $99K Complaint Against Cirrus Financial Group Advisor

By Chase Carlson |

A recent investor complaint against Centennial, Illinois financial advisor Randall Mason (CRD# 1758777) alleges that he recommended unsuitable investments. Financial Industry Regulatory Authority records show that he is a broker and an investment advisor with Cetera Advisors, doing business as Cirrus Financial Group.

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Cetera Advisor Stephen Lawler: Complaint Settles for $425K

By Chase Carlson |

Peoria, Illinois financial advisor Stephen Lawler (CRD# 1193477) has received multiple investor complaints alleging he recommended unsuitable investments. Financial Industry Regulatory Authority records show that he is a broker and an investment advisor with Cetera Advisors and Cetera Investment Advisors, respectively, having previously been registered with First Allied Securities.

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Ex-National Securities Advisor Michael Blueweiss Lands $100K Complaint

By Chase Carlson |

Melville, New York financial advisor Michael Blueweiss (CRD# 728969) allegedly recommended unsuitable investments, according to a recent investor complaint. Financial Industry Regulatory Authority records show that he is a broker with Arete Wealth Management, having previously been registered with National Securities Corporation.

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Timothy Judson: Ex-Royal Alliance Advisor Faces $100K-$500K Complaint

By Chase Carlson |

McLean, Virginia financial advisor Timothy Judson (CRD# 709195) allegedly recommended unsuitable investments that resulted in six-figure damages, according to a recent investor complaint. Financial Industry Regulatory Authority records show that he is a broker and an investment advisor with Osaic Wealth, having previously been registered with Royal Alliance Associates.

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Joseph Johnson: $300K Complaint Against Vanderbilt Advisor

By Chase Carlson |

A recent investor complaint against Woodbury, New York financial advisor Joseph Johnson (CRD# 1312422) alleged that his trading resulted in six-figure damages. Financial Industry Regulatory Authority records show that he is a broker with Vanderbilt Securities and an investment advisor with Vanderbilt Advisory Services.

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Joel Farnsworth: $4.2 Million Bond Complaint Against Wedbush Advisor

By Chase Carlson |

Los Angeles financial advisor Joel Farnsworth (CRD# 1980052) allegedly breached his fiduciary duty, according to a recent investor complaint. Financial Industry Regulatory Authority records show that he is a broker and an investment advisor with Wedbush Securities, and that he is also registered with the firm’s office in Tyler, Texas.

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Randy Barkhurst: Pruco Advisor Faces $500K Complaint

By Chase Carlson |

Tualatin, Oregon financial advisor Randy Barkhurst (CRD# 2104888) recently received an investor complaint that alleges his conduct resulted in six-figure damages. Records maintained by the Financial Industry Regulatory Authority indicate that he is a broker with Pruco Securities and an investment advisor with Prudential Financial Planning Services.

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Nir Regev: Complaint Against DFPG Advisor Settles for $287K

By Chase Carlson |

A recent investor complaint against St. Louis financial advisor Nir Regev (CRD# 1847410) reached a settlement of more than $250,000. Records maintained by the Financial Industry Regulatory Authority indicate that he is a broker and an investment advisor with DFPG Investments, having previously been registered with VSR Financial Services.

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  • 卡尔森律师事务所为摩根士丹利客户汤姆·刘提起索赔。

    更新:卡尔森律师事务所已针对摩根士丹利提交一项与汤姆·刘相关的仲裁申请。 卡尔森律师事务所正在调查位于加利福尼亚州尔湾市的摩根士丹利经纪人汤姆·刘(CRD编号:6834194)。我们已被刘的一位客户聘请代理其索赔,该客户因刘从事高风险期权交易而遭受重大损失,包括卖出特斯拉(Tesla)、谷歌(Alphabet)、Palantir、亚马逊(Amazon)和脸书(Meta)的裸卖权期权。我们计划在未来几天内对摩根士丹利提起索赔。我们希望与其他汤姆·刘的客户交流。 证券行业的多项标准旨在保护投资者免受不当高风险投资和策略的侵害。美国金融业监管局(FINRA)的适当性标准便是其中之一。根据FINRA第2111号规则,证券从业人员和机构在向客户推荐某项证券交易或投资策略前,必须“基于合理的尽职调查,有合理理由相信该交易或策略适合客户的投资状况。”若无合理依据而作出推荐,相关经纪人及公司可能需对由此造成的损失承担责任。 摩根士丹利官网显示,汤姆·刘是“大卫·龙团队”(The David Lung Group)成员之一,该团队还包括财务顾问大卫·龙(David Lung)、萧爱莲(Irena Hsiao)和奥扎尔·阿莱菲(Ozair Alefi)。此外,一份介绍汤姆·刘背景与服务的资料中写道:“作为一名财务顾问,汤姆专注于投资组合管理,为客户制定财富管理策略,帮助他们自信地迈向退休目标。他致力于建立长期合作关系,力求提供卓越的客户服务。他认真倾听客户的目标、价值观、愿景和顾虑,致力于帮助客户实现财务目标。” 根据金融业监管局资料,汤姆·刘拥有七年证券行业经验。目前在加州尔湾工作,自2022年起在摩根士丹利注册为经纪人及投资顾问。他曾于2017年至2022年间在尔湾的富国证券(Wells Fargo Clearing Services)注册。他已通过五项证券行业资格考试:普通证券代表考试(Series 7TO)、证券行业基础考试(SIE)、投资公司产品/可变合约代表考试(Series 6)、统一投资顾问法律考试(Series 65)、统一证券代理人州法考试(Series 63)。他目前持有28个州的执业牌照。(信息截至2025年4月14日) 卡尔森律师事务所代表全美投资者就金融顾问和投资公司引发的损失提起索赔。如果您或您的亲属因投资而遭受损失,请致电 888-976-6111,或填写我们的联系表,我们将为您提供免费且保密的咨询服务。

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    Former Arden Hills, Minnesota financial advisor Nicholas Stovall (CRD# 5581487) was recently sanctioned and barred in connection with allegations that...

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    Holmdel, New Jersey financial advisor Joseph Tranchina (CRD# 6085344) was recently sanctioned and suspended in connection with alleged rule violations....

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