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Ex-Raymond James Rep Jeff Drost Barred by FINRA

By Chase Carlson |

The Financial Industry Regulatory Authority has barred former Victoria, Texas stockbroker Jeff Drost (CRD# 4489021) over findings he refused to comply with a FINRA investigation into his conduct. Formerly a representative of Raymond James Financial Services, Mr. Drost was barred from acting as a broker.

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Donald Fowler: FINRA, SEC Sanction Worden Rep Over Options Strategy

By Chase Carlson |

Former Rockville Center, New York stockbroker Donald Fowler (CRD# 4989632) has been sanctioned by the Financial Industry Regulatory Authority and charged with fraud by the Securities and Exchange Commission. Previously a representative of Worden Capital Management, Mr. Fowler has been barred from acting as a broker.

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FINRA Sanctions Ex-Pruco Rep Alexis Cooke: Forgery Allegations

By Chase Carlson |

Former Pruco Securities stockbroker Alexis Cooke (CRD# 5598604) was recently sanctioned by the Financial Industry Regulatory Authority and barred from acting as a broker. Formerly a representative in the firm’s office in New York City, Ms. Cooke was found to have engaged in “falsification, impersonation, and forgery” connected to customers’ variable annuity applications.

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Thomas Stratton: Ex-Melbourne Rep Sanctioned, Barred

By Chase Carlson |

Thomas Stratton (CRD# 1646899), formerly a broker and investment adviser with World Choice Securities, was recently sanctioned by the Financial Industry Regulatory Authority. Previously a representative in the firm’s office in Melbourne, Florida, he was barred from acting as a broker or otherwise associating with any FINRA member firm.

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Center Moriches Rep Eugene McAdams Barred: Suitability Allegations

By Chase Carlson |

The Financial Industry Regulatory Authority has barred former Joseph Stone Capital broker Eugene McAdams (CRD# 4190211) after finding he declined to cooperate with a probe into allegations of unsuitable trading. He was previously registered with Joseph Stone’s office in Center Moriches, New York.

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FINRA Bars Ex-Suffield Rep Walter Allen: Alleged Discretionary Trading

By Chase Carlson |

Walter Allen (CRD# 1344149), formerly a representative of Cetera Advisors, has been sanctioned by the Financial Industry Regulatory Authority and barred from associating with any FINRA member firm. He was previously registered with Cetera’s office in Suffield, Connecticut. 

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Ex-Eastgate Rep James O’Reilly Barred: Alleged Outside Activities

By Chase Carlson |

James O’Reilly (CRD# 2209758), a broker previously registered with Eastgate Securities, has been sanctioned by the Financial Industry Regulatory Authority after findings he refused to cooperate with an investigation into allegations of potential undisclosed outside business activities. He was formerly registered with the firm’s office in Little Neck, New York.

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Skippack Broker Lee Taylor Barred by FINRA

By Chase Carlson |

Former Skippack, Pennsylvania broker and investment adviser Lee Taylor (CRD# 3045030) has been barred by the Financial Industry Regulatory Authority over findings he refused to cooperate with a FINRA inquiry into allegations of misconduct against him. He is formerly a representative of Purshe Kaplan Sterling Investments in Skippack.

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FINRA Bars Jericho Advisor Robert Nyilas: Suitability Allegations

By Chase Carlson |

Former Jericho, New York broker Robert Nyilas (CRD# 1030273) has been sanctioned by the Financial Industry Regulatory Authority over allegations he refused to cooperate with an investigation into his conduct. He was formerly registered as a broker with Lebenthal Financial Services in Jericho and Advisory Group Equity Services in Westport, Connecticut. 

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James Seijas: Ponzi Scheme Allegations Against Short Hills Rep

By Chase Carlson |

James Seijas (CRD# 2392901), a former representative of Wells Fargo Clearing Services, was recently barred from the securities industry after refusing to cooperate with an investigation into an alleged Ponzi scheme. Seijas was previously affiliated with the firm’s office in Short Hills, New Jersey. 

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