MARCH 2018 UPDATE–Mark Kaplan was permanently barred from the securities industry by FINRA and , without admitting or denying them, agreed to entry of the following findings: Kaplan exercised de…
read moreMarch 2018 The FINRA records of  Gil Sharon ,  a stock broker who is employed by Maxim Group LLC disclose a pending customer dispute and 3 prior customer disputes. The Financial Industry Regulatory…
read moreMarch 2018 The FINRA records of  Amadou Bah,  a former stock broker who was last employed employed by Maxim Group LLC disclose a regulatory matter resulting in a bar from the securities industry…
read moreMarch 2018- Charlotte, N. Carolina The FINRA records of  Joseph L. Cotter ,  a stockbroker who is currently not registered and who was last employed by  Petersen Investments disclose a recent regulatory matter resulting…
read moreRichard Shotz-Former Morgan Stanley Broker-Suspended by Regulator for Sale of UITs-Daytona Beach, FL
March 2018- Daytona Beach, Florida The FINRA records of  Richard Alan Shotz ,  a stockbroker who was last employed by  Wells Fargo and Morgan Stanley disclose a recent regulatory matter resulting in his suspension. The…
read moreMay 2020- San Antonio, TX According to publicly available records Barrett Oliver Schultz (aka Barrett Creed)  , (CRD# 2741114) ,  a  stockbroker who is employed by McNally Financial Services,  discloses two recently settled…
read moreSeptember 2019-Murrieta, CA According to publicly available records Matthew J. Werthe,  a stockbroker who is not currently registered and who was last employed by Raymond James Financial Services ,  disclose…
read moreFebruary 2018- Ft. Lauderdale, FL The FINRA records of  Patrick Henry Maddren,  a  stockbroker with Westpark Capital, who was formerly employed by Dawson James Securities  and Laidlaw & Company, disclose a settled customer dispute and…
read moreNovember 2019-Dallas, TX Larry Martin Boggs,  a former stockbroker who worked for Wedbush Securities and Ameriprise Financial Services in Dallas was permanently barred from the securities industry by FINRA in…
read moreJANUARY 2018-Houston, TX According to publicly available records Charles Albert Dixon Jr. ,  a former stockbroker with Morgan Stanley was barred by FINRA from acting as a broker or otherwise associating…
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