MARK KAPLAN INVESTIGATION UPDATEÂ 3/9/2018 Boca Raton, FL-We are in process of preparing another arbitration claim against Vanderbilt Securities seeking damages for account churning and unsuitable investment recommendations by their…
read moreMARCH 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 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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