April 2020- Clinton, MI The FINRA records of Donald Teboe, a broker previously employed by Cantella & Co., Inc. , disclose a regulatory event resulting in his bar from the securities industry. The Financial…
read moreApril 2020-El Paso, TX According to publicly available records of Robert Renteria (CRD#5773053) , a broker formerly employed with PFS Investments, Inc., discloses a regulatory event, a settled customer dispute and…
read moreApril 2020-Addison, TX According to publicly available records of John Leighton Mitchell (CRD#336967) , a broker with Titan Securities, discloses one final and three currently pending customer disputes. The Financial Industry…
read moreOctober 2020-Birmingham, AL According to publicly available records of Joseph Monroe Lawrence, III (CRD#5605961) , a former stockbroker who last worked for Wells Fargo Clearing Services, discloses a regulatory event and…
read moreMarch 2020- Florham Park, NJ According to publicly available records. James D. D’Meo, (CRD#1444759), a former stockbroker who last worked for Kenneth, Jerome & Co., Inc., discloses 2 regulatory events,…
read moreApril 2020- McAllen, TX The FINRA records of Ramon Esparza , a broker previously employed by Mutual of Omaha Investor Services, Inc. , disclose a regulatory event resulting in his bar from the securities industry and…
read moreApril 2020-San Angelo, TX According to publicly available records of Cecil Allen Ross (CRD#2391047) , a former stockbroker who last worked for LPL Financial, discloses a regulatory event and a customer…
read moreApril 2020 -Addison, TX The FINRA records of Jon M. Reppert , a former stockbroker who was previously registered with Madison Avenue Securities , disclose an $18.3 million pending customer dispute. The Financial Industry…
read moreJune 2020 -Atlanta, GA The FINRA records of Christopher J. Wenner , a stockbroker previously registered with Peachtree Capital Corp. , disclose a pending customer dispute. The Financial Industry Regulatory Authority (FINRA) is the agency…
read moreOctober 2020-San Francisco, CA The FINRA records of James Martin Lamont , a broker who was previously employed by Whitehall-Parker Securities disclose 3 regulatory events, 10 settled customer disputes(which settled cumulatively,…
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