Charles Geraci -Former VSR Financial Services Broker-Subject of $1.4M Customer Suits-Woodlands, TX

Charles Geraci -Former VSR Financial Services Broker-Subject of $1.4M Customer Suits-Woodlands, TX 150 150 Robert Rex, Esq.

October 2018-The Woodlands, Texas According to FINRA records, Charles Geraci , a former VSR FInancial Services broker who is not currently registered with any brokerage firm, discloses two pending customer disputes and 7…

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RBC Capital Ordered to Pay $723K For Sale of MLPs to Senior Citizen-Tampa, FL

RBC Capital Ordered to Pay $723K For Sale of MLPs to Senior Citizen-Tampa, FL 150 150 Robert Rex, Esq.

November 2017-Tampa, FL A FINRA arbitration panel comprised by an all public panel of three arbitrators, ordered RBC Capital Markets and broker Bruce Cameron of Norwell, Massachusetts,  to pay a former…

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Mickey Long-Former VSR Financial Broker-DIscloses Numerous Customer Complaints Over Alternative Investments-Plano, TX

Mickey Long-Former VSR Financial Broker-DIscloses Numerous Customer Complaints Over Alternative Investments-Plano, TX 150 150 Robert Rex, Esq.

November  2017-Plano, Texas According to public records former VSR Financial Services broker M. F. (Mickey) Long discloses a prior final regulatory event, 10 prior customer disputes that are final and…

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Christopher Anthony-Former Rhodes Securities Broker-Subject of $2M Customer Suit-Arlington, TX

Christopher Anthony-Former Rhodes Securities Broker-Subject of $2M Customer Suit-Arlington, TX 150 150 Robert Rex, Esq.

October 2017-Arlington, Texas The FINRA records of  Christopher P. Anthony, (CRD #1157930) a  stockbroker who is not currently  registered and who was last employed by  Rhodes Securities, Inc. , disclose a currently pending customer dispute, a prior…

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William Merriam IV – Former Merrill Lynch Broker- Barred from Securities Industry- Jacksonville, FL

William Merriam IV – Former Merrill Lynch Broker- Barred from Securities Industry- Jacksonville, FL 150 150 Robert Rex, Esq.

October 2017 – Jacksonville, FL According to publicly available records William  H. Merriam IV, (CRD#5222110) , a  former stockbroker who was last employed by Merrill Lynch , disclose  a prior regulatory event and a termination…

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Wedbush Securities Discloses Over 100 Regulatory Violations

Wedbush Securities Discloses Over 100 Regulatory Violations 150 150 Robert Rex, Esq.

NOVEMBER 2019 UPDATE–Current FINRA records for Wedbush Securities disclose 109 regulatory events. In September 2019 FINRA censured Wedbush and ordered the company to disgorge nearly $2 million to resolve allegations…

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Tye Williams-Former NEXT Financial Broker-Subject of $1M Customer Dispute-Frisco, TX

Tye Williams-Former NEXT Financial Broker-Subject of $1M Customer Dispute-Frisco, TX 150 150 Robert Rex, Esq.

UPDATE OCTOBER 2017– Frisco, TX Former NEXT Financial Group stockbroker, Tye Williams was barred from the securities industry by FINRA for failing to cooperate with regulatory investigation alleging theft of $1M, making…

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Christian L. Webb-Former LPL Financial Broker-Investigation Update-Lakeway, TX

Christian L. Webb-Former LPL Financial Broker-Investigation Update-Lakeway, TX 150 150 Robert Rex, Esq.

October 2017-Lakeway, Texas According to publicly available records Christian L. Webb , (CRD# 1161075) ,  a  currently unregistered stockbroker who was last registered with Dominion Investors Services of Horseshoe Bay, TX  , discloses a termination…

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Joseph Hushek-G.F. Investment Services Broker- Discloses Regulatory Event – Sarasota, FL

Joseph Hushek-G.F. Investment Services Broker- Discloses Regulatory Event – Sarasota, FL 150 150 Robert Rex, Esq.

October 2017 – Sarasota, FL According to publicly available records Daniel Joseph Hushek III (CRD#4250117) , a  stockbroker who is currently unregistered and was previously registered with G.F. Investment Services, disclose  a recent regulatory event.…

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