A recent investor complaint against Covington, Louisiana financial advisor Matt Greene (CRD# 3175382) alleges that his conduct resulted in damages....
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Charles Euler: Radnor Broker Barred Over Alleged Unsuitable Trades
Charles Euler (CRD# 202696), a financial professional previously registered with Janney Montgomery Scott, has been sanctioned by the Financial Industry Regulatory Authority over allegations he refused to cooperate with an investigation into whether he made unsuitable trades. Formerly a representative of the firm’s office in Radnor, Pennsylvania, he was barred from acting as a… Read More »
Kwasi Aggor: Providence Broker Barred Over Alleged Outside Business
Kwasi Aggor (CRD# 4974222), formerly a representative of TD Ameritrade, was recently sanctioned by the Financial Industry Regulatory Authority in connection to allegations he refused to cooperate with an investigation into his conduct. Previously associated with the firm’s office in Providence, Rhode Island, he was barred from associating with FINRA broker-dealer firms. According to… Read More »
Gregory Stouffer: NYC Broker Investigated, Barred
Former Fidelity Brokerage Services and JP Morgan broker Gregory Stouffer (CRD# 807506) has been sanctioned by the Financial Industry Regulatory Authority in connection to allegations he failed to cooperate with an investigation into his conduct. Previously associated with those firms’ offices in New York City, he was barred from affiliating with any FINRA firm…. Read More »
FINRA Bars Ex-PFS Broker Albert Harkless: Conversion Allegations
Former Temple Hills, Maryland broker Albert Harkless (CRD# 2782039) was recently sanctioned by the Financial Industry Regulatory Authority (FINRA) in connection to allegations he converted customer funds and made misrepresentations. Formerly associated with PFS Investments, he was barred from associating with FINRA broker-dealer firms. According to a Letter of Acceptance, Waiver, and Consent (No…. Read More »
Jonathan Zwickel: FINRA Bars Houston Broker
Former Clinger & Company broker Jonathan Zwickel (CRD#1724322) was recently named in a disciplinary action by the Financial Industry Regulatory Authority. He was barred over allegations he refused to cooperate with an investigation into whether he improperly engaged in an outside business activity. According to a Letter of Acceptance, Waiver and Consent (No. 2020065586401)… Read More »
Carlson Law Files Case Against Parque Towers Developers
Carlson Law, P.A., along with co-counsel Barakat Law, P.A., has filed a lawsuit in Miami-Dade County, Florida, for several purchasers of condominium units in the Parque Towers development in Sunny Isles Beach, Florida. The lawsuit alleges that the developer’s brochures misrepresented the size of the units and that the purchasers relied on that information… Read More »
FINRA Bars Corpus Christi Broker Charles Doraine: Puerto Rico Bonds
Former Next Financial Group broker Charles Doraine (CRD# 70411) was recently sanctioned by the Financial Industry Regulatory Authority in connection to allegations of unsuitable trading of mutual funds and Puerto Rico municipal bonds. Formerly associated with firm’s office in Corpus Christi, Texas, he was barred from associating with FINRA firms. According to a Letter… Read More »
Bryan Benson: Tucson Broker Barred Over Customer Complaint
Former Wells Fargo Clearing Services broker Bryan Benson (CRD# 807506) was recently the subject of a disciplinary action by the Financial Industry Regulatory Authority, which barred him from associating with any FINRA member firm after finding he failed to cooperate with an investigation into a customer complaint. According to a Letter of Acceptance, Waiver,… Read More »
James Kennedy: FINRA Probes, Bars Woodbury Broker
Former Madison, Missouri broker James Kennedy (CRD# 1527660) has been sanctioned by the Financial Industry Regulatory Authority over findings he failed to comply with an investigation into allegations of an unapproved outside business activity. Formerly associated with Woodbury Financial Services, he was barred from associating with any FINRA firm. According to a Letter of… Read More »
Glendale Broker Arthur Hoffman Barred: Alleged Private Transactions
Former Ameriprise Financial Services broker Arthur Hoffman (CRD# 3193754) was recently the subject of a Financial Industry Regulatory Authority disciplinary action over allegations involving private securities transactions and outside business activities. Previously a representative at the firm’s office in Glendale, Arizona, he was barred from associating with any FINRA member firm. According to a… Read More »

