JUNE 2017 Wells Fargo Securities entered into a Letter of Acceptance, Waiver and Consent (AWC) with the Financial Industry Regulatory Authority (FINRA) to resolve allegations that they failed to…
read moreJUNE 2017 The U S Securities and Exchange Commission charged James M. Farinella , Integrated Capital Partners (ICP) , Anthony Amado, Equities Awareness Group LLC (EAG) and Carlos Palomino with…
read moreJUNE 2017- Austin, Texas According to publicly available records Trevor M. Carney (CRD#5657735) , a stockbroker who is employed by Ascendant Alternative Strategies, discloses a recent regulatory event and two outstanding judgment/liens. The Financial…
read moreJUNE 2017- New York, NY According to publicly available records Gregg D. Templeton (CRD#2412775) , a former stockbroker who was previously registered with Oppenheimer & Co., discloses a prior regulatory event, a currently pending…
read moreJune 2017- Austin, TX According to publicly available records John J. Gorman IV (CRD#1070636) , a stockbroker who is currently unregistered disclose a currently pending regulatory matter, 3 prior regulatory events, 2…
read moreJUNE 2017- Charlotte, NC According to publicly available records Matthew S. Kocsis, (CRD#4787057) , a stockbroker who is registered with Cambridge Investment Research discloses 2 prior customer disputes. The Financial Industry Regulatory…
read moreJune 2017- Dallas, TX According to publicly available records Gary Mack Bradshaw (CRD#1389924) , a stockbroker who currently is employed by First Dallas Securities, Inc. disclose 3 prior customer disputes. The Financial Industry…
read moreJune 2017 – Houston, TX According to publicly available records James A. Franklin (CRD#4799613) , a stockbroker who currently is employed by 1st Global Capital Corp. , discloses a pending customer dispute. The Financial…
read moreAlpharetta, Georgia AUGUST 2017 UPDATE-The Securities and Exchange Commission (SEC) charged Christopher S. Laws and three other Atlanta area brokers with fraudulently inducing federal employees to roll over holdings in…
read moreSeptember 2017 According to publicly available records Jill M. Cody , (CRD# 4333419) , a former stockbroker who last worked for Concorde Investment Services , has numerous disclosures: 1 prior regulatory events 8…
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