Close Menu
Free Consultation: 888-976-6111

Category Archives: Uncategorized

Daniel Mann: GPB Complaint Against Cornerstone Wealth Advisor

By Chase Carlson |

Daniel Mann (CRD# 4592568), a broker and financial advisor in Las Vegas, has received a pending investor complaint alleging his actions caused six-figure losses. Financial Industry Regulatory Authority records show that he is a representative of Independent Financial Group, doing business as Cornerstone Wealth Management.

Facebook Twitter LinkedIn

Robert McNamara: Cadaret Grant Advisor Sanctioned for Discretion Use

By Chase Carlson |

Albany broker Robert McNamara (CRD# 1207495) has twice been sanctioned by the Financial Industry Regulatory Authority in relation to findings that he exercised discretion without proper authorization. FINRA records show that he is a representative of Cadaret Grant & Company and was recently issued a 30-day suspension from acting as a broker.

Facebook Twitter LinkedIn

Ameriprise Advisor Mark Lott Under Investigation by Everspire

By Chase Carlson |

Mark Lott (CRD# 5015817), a broker and financial advisor in Sandy, Utah, resigned from his former broker-dealer firm amidst allegations of policy violations. Financial Industry Regulatory Authority records show that he is now a representative of Ameriprise Financial Services.

Facebook Twitter LinkedIn

Chad Barancyk: $1.8mm in Complaints Against Great Point Capital Rep

By Chase Carlson |

Chicago broker Chad Barancyk (CRD# 4921433) has received eight pending investor complaints alleging his recommendations caused almost $2 million in losses. Financial Industry Regulatory Authority records show that he is a representative of Great Point Capital and was formerly a representative of First Allied Securities.

Facebook Twitter LinkedIn

Ken Daley: $100K REIT Complaint Against Allstate Advisor

By Chase Carlson |

Allstate Financial Services representative Ken Daley (CRD# 1774653) allegedly committed fraud relating to the sale of a non-traded real estate investment trust (REIT), according to a pending investor complaint against him. Financial Industry Regulatory Authority records show that he is based in Boynton Beach, Florida. 

Facebook Twitter LinkedIn

Oil & Gas Complaint Against Rockland Advisor Christopher Cavallaro

By Chase Carlson |

Christopher Cavallaro (CRD# 2125009), a broker and investment advisor in Rockland, Massachusetts, has received a pending investor complaint concerning an oil and gas investment. Financial Industry Regulatory Authority (FINRA) records show that Cavallaro is a representative of LPL Financial, doing business as Integrated Financial Partners.

Facebook Twitter LinkedIn

Ned Lubell: West Palm Beach Advisor Has Suitability Complaint

By Chase Carlson |

UBS Financial Services representative Ned Lubell (CRD# 2449026) allegedly recommended unsuitable investments, according to a pending investor complaint against him. Financial Industry Regulatory Authority records show that he is a stockbroker and investment advisor based in West Palm Beach, Florida.

Facebook Twitter LinkedIn

Deerfield Beach Rep Mark Bushkin Allegedly Made Unauthorized Trades

By Chase Carlson |

Deerfield Beach, Florida broker and financial advisor Mark Bushkin (CRD# 2051696) recently received an investor complaint that settled for more than $50,000, according to Financial Industry Regulatory Authority records. He is a representative of Bushkin Financial Services, which offers securities through Avantax Investment Services. 

Facebook Twitter LinkedIn

$376K Complaint Against SW Financial Advisor Richard Reynolds

By Chase Carlson |

SW Financial representative Richard Reynolds (CRD# 2162706) has recently received investor complaints alleging his actions resulted in losses. Financial Industry Regulatory Authority records show that he is based in Melville, New York and was formerly affiliated with Worden Capital Management in Garden City, New York. 

Facebook Twitter LinkedIn

Ann Vanderslice: $250K Complaint Against Federal Benefits Rep

By Chase Carlson |

Ann Vanderslice (CRD# 5057784), a broker based in Lakewood, Colorado, has received an investor complaint alleging six-figure losses. Financial Industry Regulatory Authority records show that she is a representative of Federal Benefits Made Simple, an E.A. Buck Company, which offers securities through Madison Avenue Securities. 

Facebook Twitter LinkedIn
Contact Us For A Free Case Evaluation
protected by reCAPTCHA Privacy - Terms
Latest Blog Posts
  • Robert Wilson: Why Was Principal Advisor Fired by Wells Fargo?

    Eagle, Idaho financial advisor Robert Wilson (CRD# 6394736) was recently fired by his prior member firm in connection with alleged...

    Read More
  • Norma Sepulveda: Morgan Stanley Advisor Faces Suitability Complaint

    A recent investor complaint against Winter Park, Florida financial advisor Norma Sepulveda (CRD# 1247666) alleges that she recommended an unsuitable...

    Read More
  • Don Pittman: Advisor Fired by Edward Jones

    Former Lubbock, Texas financial advisor Don Pittman (CRD# 7119777) was recently fired from his prior member firm in connection with...

    Read More
  • Steve Story: United Planners Advisor Received Complaint

    A recent, withdrawn investor complaint against Ogden, Utah financial advisor Steve Story (CRD# 2574091) alleges that he forged a customer’s...

    Read More
  • Previous
  • Next