Close Menu
Free Consultation: 888-976-6111

Gary Meier: Complaints Against Vancouver Financial Advisor

Settled and pending investor complaints against former Vancouver, Washington broker and investment advisor Gary Meier(CRD#: 1591561) allege conduct including suitability violations, breach of fiduciary duty, negligence, and more. Meier is a former representative of Cambridge Investment Research, according to information drawn from Financial Industry Regulatory Authority records.

A pending 2019 complaint alleges that as a representative of Cambridge Investment Research, Gary Meier recommended unsuitable penny stocks. The complaint alleges damages between $100,001 and $500,000.

A pending 2019 complaint alleges that as a representative of Cambridge Investment Research, Gary Meier misrepresented material facts related to penny stock products. The complaint alleges damages of $225,000.

A pending 2019 complaint alleges that as a representative of Cambridge Investment Research, Gary Meier misrepresented material facts related to low-priced securities. The complaint alleges damages of $450,000.

A pending 2019 complaint alleges that as a representative of Cambridge Investment Research, he sold unsuitable stock products. The complaint alleges damages of $65,000.

A pending 2018 complaint alleges that as a representative of Cambridge Investment Research, he sold unsuitable investments in over-the-counter and exchange-traded fund products. The complaint alleges damages of $278,500.

A 2018 complaint alleged that as a representative of Cambridge Investment Research, he recommended unsuitable investments, breached his fiduciary duty, and acted negligently. The complaint reached a settlement in 2019 of $37,500.

A 2017 complaint alleged that as a representative of Cambridge Investment Research, he misrepresented material facts, breached his fiduciary duty, acted negligently, and recommended unsuitable investments in penny stock products. The complaint reached a settlement in 2019 of $93,500.

Gary Meier is currently not registered as a broker or investment advisor. His employment history includes Cambridge Investment Research in Vancouver, Washington; Symetra Investment Services in Vancouver, Washington; Pacific West Securities in Vancouver, Washington; Securities Service Network in Vancouver, Washington; Veravest Investments in Worcester, Massachusetts; and AAL Capital Management Corporation in Minneapolis, Minnesota. He currently holds zero state licenses and has passed five securities industry qualification examinations.

Facebook Twitter LinkedIn
Contact Us For A Free Case Evaluation
protected by reCAPTCHA Privacy - Terms
Latest Blog Posts
  • Mark Kemp: McNally Advisor Sanctioned over Reverse Convertibles

    A recent sanction against Corpus Christi, Texas financial advisor Mark Kemp (CRD# 2057200) alleged that he engaged in inequitable sales...

    Read More
  • Jonathan Upton: LPL Advisor Faces $250K REIT Complaint

    Multiple investor complaints against Louisville, Kentucky financial advisor Jonathan Upton (CRD# 4559794) allege that he recommended unsuitable investments. Financial Industry...

    Read More
  • Joy Simar: $203K Complaint Against LPL/Pruco Advisor

    McKinney, Texas financial advisor Joy Simar (CRD# 6147731) recently received an investor complaint alleging that her conduct resulted in six-figure...

    Read More
  • Dan Schmid: Why Did Advisor Resign from Northwestern Mutual?

    Minneapolis, Minnesota financial advisor Dan Schmid (CRD# 6658306) recently resigned from Northwestern Mutual Investment Services in connection with alleged rule...

    Read More
  • Previous
  • Next