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Douglas Szempruch: FINRA Suspends Former Aegis Advisor

By Chase Carlson |

Douglas Szempruch (CRD# 4159318), previously a stockbroker in Melville, New York, was sanctioned by the Financial Industry Regulatory Authority over findings he engaged in unsuitable trading. Formerly a representative of Aegis Capital, Mr. Szempruch was suspended from acting as a broker. 

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FINRA Sanctions Indianapolis Advisor Stu Pearl

By Chase Carlson |

Former Indianapolis stockbroker Stu Pearl (CRD# 1500833) has been sanctioned by the Financial Industry Regulatory Authority over findings he made unsuitable exchange-traded fund recommendations. Previously a representative of David A. Noyes & Company, he has been suspended from acting as a broker. He is still registered as an investment adviser with International Assets Investment… Read More »

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FINRA Suspends Former SagePoint Advisor Gary Bowman

By Chase Carlson |

Gary Bowman (CRD# 2035699) , an ex-SagePoint Financial stockbroker, has been sanctioned by the Financial Industry Regulatory Authority after findings he engaged in unsuitable trading. A representative previously based in Corona, California, Mr. Bowman was temporarily suspended from acting as a broker.

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James Flower: Ex-NYC Rep Barred over VXX ETN Trades

By Chase Carlson |

Ex-Spartan Capital Securities stockbroker James Flower (CRD# 2817701) has been barred from acting as a broker or otherwise associating with any broker-dealer firm. Previously based in Garden City, New York, he was found by the Financial Industry Regulatory Authority to have churned and excessively traded in customer accounts.

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FINRA Sanctions Ex-GWN Securities Rep Ronald Giovino

By Chase Carlson |

Ex-Clearwater, Florida stockbroker Ronald Giovino (CRD# 2236071) was sanctioned by FINRA this summer after findings he failed to produce information FINRA requested as part of its investigation into whether he converted customer funds. Previously a representative of GWN Securities, Mr. Giovino was barred from acting as a broker or otherwise associating with a broker-dealer… Read More »

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FINRA Bars Tyler Rigsbee, Former Sacramento Advisor

By Chase Carlson |

Tyler Rigsbee (CRD# 6351278), previously a Sacramento-based stockbroker, was sanctioned by FINRA in July over findings he refused to produce information connected to an inquiry into allegations of unauthorized fund transfers. Formerly a representative of Wells Fargo Clearing Services, he was indefinitely barred from acting as a broker or otherwise associating with a broker-dealer… Read More »

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SW Financial Rep Joseph Lianzo Sanctioned, Suspended by FINRA

By Chase Carlson |

SW Financial stockbroker Joseph Lianzo (CRD# 4516842) was recently sanctioned by the Financial Industry Regulatory Authority and suspended from acting as a broker. The Melville, New York representative was found to have engaged in excessive trading in customer accounts.

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Ex-Woodstock Rep Alfonse Stazzone Suspended by FINRA

By Chase Carlson |

Alfonse Stazzone (CRD# 4908107), a stockbroker previously registered in New Jersey, has been sanctioned by the Financial Industry Regulatory Authority and suspended from acting as a broker. He was previously a representative of Monmouth Capital Securities in Holmdel, New Jersey; Garden State Securities in Red Bank, New Jersey; and Woodstock Financial in Staten Island,… Read More »

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John Cangialosi: NYC Broker Suspended Over Unsuitable Trades

By Chase Carlson |

New York City stockbroker John Cangialosi (CRD# 3273830), was recently sanctioned by the Financial Industry Regulatory Authority over findings of unsuitable trading in customer accounts. The SW Financial representative was fined and temporarily suspended from associating with FINRA member firms.

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Cesar Hurtado: 6-Figure Complaints Against Oppenheimer Rep

By Chase Carlson |

Miami stockbroker Cedar Hurtado (CRD# 4137948) was recently sanctioned by the Financial Industry Regulatory Authority. A representative of Oppenheimer & Company, he was found to have recommended unsuitable investment strategies to two customers. 

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