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Metric Rep Brett Ellen Has 6-Figure Investment Complaints

By Chase Carlson |

Las Vegas stockbroker Bret Ellen (CRD# 1460478) allegedly recommended unsuitable investments that caused six-figure losses, per investor complaints reported to the Financial Industry Regulatory Authority. Currently a representative of Metric Financial, Ellen has been the subject of more than a dozen pending, settled, denied, or closed customer complaints. 

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Danny Young: 6-Figure Complaint Against Lake City, Adel Rep

By Chase Carlson |

Cetera Advisor Networks representative Danny Young (CRD# 4115155) allegedly recommended risky investments that led to substantial losses, according to a pending investor complaint against him. A Financial Industry Regulatory Authority (FINRA) database shows that Young is registered with the firm’s branch offices in Lake City, Florida; Adel, Georgia; and Douglas, Georgia. 

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Gerald Brodsky: Barred NYC Rep Has $800k Concord Group Complaint

By Chase Carlson |

Ex-Dinosaur Financial Group representative Gerald Brodsky (CRD# 1172647) was barred by the Financial Industry Regulatory Authority (FINRA) from acting as a broker or otherwise associating with a broker-dealer firm. According to FINRA, he was registered with the firm’s branch office in New York City and is the subject of a pending customer complaint.

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7-Figure Complaints Against Long Island Rep Joseph Valdini

By Chase Carlson |

Ex-Aegis Capital stockbroker Joseph Valdini (CRD# 5517610) allegedly caused investors more than $2 million in losses, according to customer complaints against him. Financial Industry Regulatory Authority disclosures shows that Valdini has been barred from acting as a broker, before which he was registered with Aegis Capital and Worden Capital Management in Melville and Garden… Read More »

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San Jose Rep David Bibo Allegedly Caused 7-Figure REIT Losses

By Chase Carlson |

David Bibo (CRD# 2602436), a representative of Western International Securities, is the subject of pending and denied customer complaints. According to the Financial Industry Regulatory Authority, one investor alleges the San Jose stockbroker and investment adviser caused $1.5 million in losses. 

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Brian Marston: $1.7MM Real Estate Complaint Against Woodbury Rep

By Chase Carlson |

Greenwood Village, Colorado stockbroker and investment adviser Brian Marston (CRD# 733083) is involved in pending investor disputes. According to the Financial Industry Regulatory Authority, Marston is currently a representative of Woodbury Financial Services, where he has been registered since 2006. 

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$3MM Complaint Against Elm Grove Rep Timothy Bartelt

By Chase Carlson |

Raymond James stockbroker Timothy Bartelt (CRD# 2501532) is the subject of an investor complaint alleging $3 million in damages. According to the Financial Industry Regulatory Authority, Bartelt is based in the firm’s branch office in Elm Grove, Wisconsin and the complaint against him is still pending.

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Michael Shillin: SEC Files SpaceX Charges Against Ex-AGP Rep

By Chase Carlson |

Former Altoona stockbroker and investment adviser Michael Shillin (CRD# 5927156) has been named in charges by the Securities and Exchange Commission alleging he deceived his investors. According to the Financial Industry Regulatory Authority, the former Alliance Global Partners representative has also received investor complaints, both pending and settled.  Michael Shillin’s BrokerCheck report lists 21… Read More »

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Jeffrey Cohen: $2MM Complaint Against Manchester-Based Moloney Rep

By Chase Carlson |

Moloney Securities stockbroker Jeffrey Cohen (CRD# 2528929) has received investor complaints alleging he sold unsuitable alternative investments. According to the Financial Industry Regulatory Authority, an entity overseeing broker-dealer firms, Mr. Cohen is associated with Moloney’s branch office in Manchester, Missouri. 

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Recent Complaints Against Ex-NYC Worden Rep Gregory Bodkin

By Chase Carlson |

Gregory Bodkin (CRD# 3008389), previously a stockbroker registered with Worden Capital Management, has received several pending customer complaints. Financial Industry Regulatory Authority records reveal that the former New York City representative is no longer registered as a broker.

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