Port Washington, Wisconsin financial advisor Paul Baldino (CRD# 2024264) allegedly made excessive trades, according to a recent investor complaint. Financial...
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Peter Viglione: Former Laidlaw Broker Receives Complaints
Investor complaints against former Laidlaw & Company broker Peter Viglione (CRD# 4697621) allege conduct including suitability violations, misrepresentation, unauthorized trading, and more by the New York, New York-based representative. One such complaint alleges damages of $200,000. He is currently registered with Network 1 Financial, where he has been employed since June 2019, according to… Read More »
Michael Fasciglione: Former National Securities Broker Receives Complaints, Suspension
Investor complaints against the former National Securities Corporation broker Michael Fasciglione (CRD# 1806486) allege conduct including suitability violations, breach of fiduciary duty, and negligence by the Bayside, New York-based representative. One such complaint alleges damages of $467,000, while another reached a settlement of $525,000. His disclosure history also contains a suspension by the Financial… Read More »
Robert Clarke: Complaints Against Texas Broker
Investor complaints against Austin, Texas broker Robert Clarke (CRD#: 735940) allege conduct including suitability violations, supervisory failures, negligence, improper margin use, and other activity undertaken at Ross Sinclaire & Associates and other firms. He is employed with National Alliance Securities in Austin, Texas, where he has been registered since 2017, according to information drawn… Read More »
Richard Reynolds: Complaints, Sanctions Against New York Worden Broker
Investor complaints against Melville, New York broker Richard Reynolds (CRD#: 2162706) allege conduct including suitability violations, supervisory failures, negligence, improper margin use, and other activity undertaken at Worden Capital Management and other firms. He has also been the subject of two disciplinary actions undertaken by state securities regulators, according to information drawn from Financial… Read More »
Gregory Dean: Ex-Worden Advisor Receives Complaints, SEC Sanctions
Investor complaints against the former Rockville Center, Maryland advisor Gregory Dean (CRD# 4922996) allege conduct including suitability violations, supervisory failures, excessive trading, and other activity undertaken at his former member firm, Worden Capital Management. He was also recently barred by the Securities and Exchange Commission from associating with any any broker, dealer, investment adviser,… Read More »
Jon Freeze: Complaints, Sanctions Against Ex-Fortune Financial Services Advisor
Investor complaints against the former Canonsburg, Pennsylvania advisor Jon Freeze (CRD# 2642023) allege conduct including suitability violations and investments sold away from his former firm, Fortune Financial Services. One such complaint alleges damages of $370,000. Freeze was employed with Fortune Financial Services in Canonsburg until 2017, when the Financial Industry Regulatory Authority sanctioned and… Read More »
William Ornstein: Complaints Against Florida GMS Group Broker
Investor complaints against Boca Raton, Florida broker William Ornstein (CRD#: 500470) allege conduct including negligence, breach of fiduciary duty, false representations, fraud, and other activity undertaken at firms including The GMS Group. One such complaint seeks $100,000 in damages. He has been employed at that firm’s Boca Raton location since 2001, according to information… Read More »
FINRA Suspends Financial Advisor to Basketball Players
One of the most well-known financial advisors in the basketball world, Ken Kavanagh, has been suspended by the Financial Industry Regulatory Authority (FINRA). A disciplinary action taken by FINRA against former New York, New York broker and investment advisor Ken Kavanagh suspended him over allegations that he engaged in outside business activities without properly… Read More »
Greg Crance: Complaints Against OneAmerica Broker
Investor complaints against Alabama OneAmerica Securities broker Greg Crance (CRD# 736820) allege activity including disclosure failures and factual misrepresentations. One such complaint reached a settlement of more than $235,000. Crance is employed with OneAmerica Securities in Auburn, Alabama, where he has been employed since 2013, according to information drawn from Financial Industry Regulatory Authority… Read More »
Michael Greenfield: $200,000 Complaint Against Newbridge Broker
Investor complaints against Florida Newbridge Securities Corporation broker Michael Greenfield (CRD# 5406611) allege activity including negligence, breach of contract, unsuitable investments, and more. These include a pending complaint alleging damages of $200,000. Greenfield is employed with Newbridge Securities Corporation in Boca Raton, Florida, where he has been employed since 2017, according to information drawn… Read More »

