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Jonathan Bourgeois: $4 Million Complaint Against Wells Fargo Advisor

By Chase Carlson |

San Diego financial advisor Jonathan Bourgeois (CRD# 5757664) recently received an investor complaint alleging that his conduct resulted in damages exceeding $4 million. Financial Industry Regulatory Authority records show that he is currently registered as a broker and an investment advisor with Wells Fargo Clearing Services.

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Cindy Beyerlein: FINRA Suspends Former Ameriprise Advisor

By Chase Carlson |

Former Lancaster, Pennsylvania financial advisor Cindy Beyerlein (CRD# 4320421) has been suspended in connection with allegations that she violated industry rules. Financial Industry Regulatory Authority records show that she was most recently registered as a broker with Kingswood Capital Partners, having previously been registered with Ameriprise Financial Services.

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Jeff Conforti: Investor Complaint Against Conforti Financial Advisor

By Chase Carlson |

Campbell, California financial advisor Jeff Conforti (CRD# 1624993) allegedly recommended an unsuitable investment, according to a recent investor complaint. Financial Industry Regulatory Authority records show that he is registered as a broker and an investment advisor with Securities America. His website shows that he is a representative of Conforti Financial, which offers securities and… Read More »

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Michelle Stebbins: $305K Complaint Against Stifel Advisor

By Chase Carlson |

Southfield, Michigan financial advisor Michelle Stebbins (CRD# 4156378) allegedly failed in her supervisory responsibilities, according to a recent investor complaint. Financial Industry Regulatory Authority records show that she is currently registered as a broker and an investment advisor with Stifel Nicolaus & Company.

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Brad Bergdahl: Premier Wealth Advisor Faces Investor Complaint

By Chase Carlson |

Cando, North Dakota financial advisor Brad Bergdahl (CRD# 1432349) allegedly recommended an unsuitable investment, according to a recent investor complaint. Financial Industry Regulatory Authority records show that the Cetera broker and investment advisor is also the owner of Premier Wealth Management Group.

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Mark VanderHagen: Wealth Advisors Group Faces $115K Complaint

By Chase Carlson |

A recent investor complaint against Fort Wayne, Indiana financial advisor Mark VanderHagen (CRD# 1634101) alleges that he provided misleading information regarding an investment. Financial Industry Regulatory Authority and Securities and Exchange Commission records show that the former Purshe Kaplan Sterling broker is currently an investment advisor with Wealth Advisors Group.

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Bill Hurckes: $150K GWG Complaint Against Clarity Group Advisor

By Chase Carlson |

East Peoria, Illinois financial advisor Bill Hurckes (CRD# 2612833) recently received an investor complaint alleging that he committed fraud and violated securities laws in connection with the sale of GWG L bonds. Financial Industry Regulatory Authority records show that the Ausdal Financial Partners broker and investment advisor is also the owner of Clarity Group… Read More »

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Diego Canalda: Raymond James Denies $203K Complaint

By Chase Carlson |

Miami financial advisor Diego Canalda (CRD# 2952690) recently received an investor complaint alleging that he recommended an unsuitable bond. Financial Industry Regulatory Authority records show that he is currently registered as a broker and an investment advisor with Stifel Nicolaus & Company, having previously been registered with Raymond James & Associates.

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Brandon Jochim: Ameriprise Advisor Faces $250K Complaint

By Chase Carlson |

Portland financial advisor Brandon Jochim (CRD# 4478208) allegedly recommended unsuitable investments, according to a recent investor complaint. Financial Industry Regulatory Authority records show that he is currently registered as a broker with Ameriprise Financial Services, having previously been registered with IDS Life Insurance Company.

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Blake Lynch: Securities America Advisor Fired by Cetera

By Chase Carlson |

Omaha, Nebraska financial advisor Blake Lynch (CRD# 6650717) was recently fired by a former member firm in connection with alleged policy violations. Financial Industry Regulatory Authority records show that he is currently registered as a broker with Securities America and that he is a representative of WealthPLAN Partners.

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