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Wilson Saville: $1.6MM Complaint Against Barrett & Co. Broker

By Chase Carlson |

Providence, Rhode Island broker and investment adviser Wilson Saville (CRD# 1406756) has received a complaint alleging supervisory failures resulted in losses of more than $1 million. Financial Industry Regulatory Authority (FINRA) records show that Saville is currently a registered representative of Barrett & Company. According to Wilson Saville’s BrokerCheck report, the complaint was filed… Read More »

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Triad’s Mark Just Allegedly Recommended Unsuitable Products

By Chase Carlson |

Mark Just (CRD# 1138738), a broker and investment adviser located in Indianapolis, has received investor complaints alleging hundreds of thousands of dollars in losses. Records maintained by the Financial Industry Regulatory Authority (FINRA) show that Just is currently a registered representative of Triad Advisors and The Just Company. Mark Just’s BrokerCheck report lists five… Read More »

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R. Douglas Armstrong: Dawson James Broker Has $2MM Complaint

By Chase Carlson |

According to digital records maintained by the Financial Industry Regulatory Authority (FINRA), Boca Raton broker R. Douglas Armstrong (CRD# 5236735) recently received an investor complaint alleging losses of $2 million. Armstrong is a representative of Dawson James Securities, where he has been registered since 2012. He has also received other pending or settled complaints…. Read More »

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Kurt Jackson: Investor Alleges Kestra Rep Caused $200K Losses

By Chase Carlson |

San Luis Obispo broker and investment adviser Kurt Jackson (CRD#: 2913769) recently received a customer complaint alleging his recommendations resulted in six-figure losses. According to records provided by the Financial Industry Regulatory Authority (FINRA), Jackson is currently registered with Commonwealth Financial Network. Kurt Jackson’s BrokerCheck report currently lists one settled customer complaint, one pending… Read More »

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George Merhoff: $500,000 Losses Alleged Against Ex-Cetera Rep

By Chase Carlson |

Former Klamath Falls, Oregon-based broker and investment adviser George Merhoff (CRD#: 2918171) has received numerous settled or pending customer complaints alleging he made unsuitable investment recommendations to his customers. According to records provided by the Financial Industry Regulatory Authority (FINRA), Merhoff was most recently registered with Cetera Advisors.

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Ashley Woodard: Investor Complaints Against Ex-NYLife Broker

By Chase Carlson |

Investor complaints against former Greenville, South Carolina broker Ashley Woodard (CRD# 4703144) allege he recommended unsuitable and risky investments that resulted in losses as high as $5 million. Financial Industry Regulatory Authority (FINRA) records show that Woodard is currently not registered as a broker or investment adviser, but he was most recently registered in… Read More »

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$5 Million Complaint Against Ex-Voya Broker Jim Flynn

By Chase Carlson |

Former Greenville, South Carolina broker and investment advisor Jim Flynn (CRD#: 3082615) has received dozens of settled or pending investor complaints, some alleging damages in the six or seven figures. Flynn was barred from associating with any Financial Industry Regulatory Authority (FINRA) member firm in 2018. Before that, FINRA records show he was a… Read More »

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Eric Weschke: 6-Figure Investor Complaints Against Kalos Rep

By Chase Carlson |

Setauket, New York-based broker and investment adviser Eric Weschke (CRD# 2486324) has received several pending investor complaints in recent years, including some alleging six-figure losses. According to records provided by the Financial Industry Regulatory Authority (FINRA) Weschke is currently a registered representative of Kalos Capital. Eric Weschke’s FINRA-maintained BrokerCheck report lists a total of… Read More »

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Dan Dillard: Nest Adviser Allegedly Caused $1.5MM Loss

By Chase Carlson |

A pending investor complaint against Austin, Texas investment adviser Dan Dillard (CRD# 4289333) alleges losses of $1.5 million. According to Financial Industry Regulatory Authority (FINRA) records, Dillard is currently not registered as a broker, though he was most recently registered with Union Capital Company and SagePoint Financial in Austin, Texas. Records maintained by the… Read More »

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Investor Files Complaint Against Ex-Madison Ave Advisor Jeffrey Dixson

By Chase Carlson |

Numerous investors have filed complaints alleging that former Vancouver, Washington broker and investment adviser Jeffrey Dixson (CRD# 4166311) recommended unsuitable investments in products including GPB Automotive. According to records provided by the Financial Industry Regulatory Authority (FINRA), Dixson was formerly registered with Madison Avenue Securities. Jeffrey Dixson’s FINRA-maintained BrokerCheck report lists nine pending customer… Read More »

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