March 2026, New York, NY According to publicly available records Nicholas James Schiano  (CRD#4429212) ,  a stockbroker currently registered with Spartan Capital Securities,  disclose 5 prior customer disputes and 1 pending…
read moreRobert David-Former Morgan Stanley Broker-Discloses Multiple Customer Disputes -Farmington Hills, MI
Robert David Investigation February 2024- Farmington Hills, MI According to FINRA records, Robert C. David, Jr.  , a broker  who previously worked for Morgan Stanley , discloses a regulatory event,…
read moreLast Updated: October 2023 (Indianapolis, IN) Jim Dickson Investigation Summary Here’s what you need to know about Indianapolis, IN, stockbroker Jim Dickson: Name: Mr. James R. Dickson Current Employer: Not…
read moreLast Updated: October 2023 (Lake Forest, IL) James Allen Investigation Summary Here’s what you need to know about Lake Forest, IL, stockbroker James Allen: Name: Mr. James Arthur Allen Current…
read moreFOLLOW THIS LINK FOR FEBRUARY 2019 UPDATE-Chris SInkula subject of pending customer disputes of nearly $3 million. Original Post-September 2017-Stuart, Florida We have filed a FINRA arbitration claim against Janney…
read moreFOLLOW THIS LINK FOR FEBRUARY 2019 UPDATE-Chris SInkula subject of pending customer disputes of nearly $3 million. September 2017-Stuart, Florida We have filed a FINRA arbitration claim against Janney Montgomery…
read moreDecember 2016- Longview, Texas The Texas State Securities Board (TSSB) sanctioned  Bruce Russell Clark (CRD# 2848753) of Longview, Texas,  reprimanding him and assessing an administrative fine of $5,000. According to the TSSB…
read moreAugust  2016-Boca Raton, Florida The FINRA records of Mark S. Garfinkel ,  a  stock broker who is currently employed  by Oppenheimer & Co.  , disclose  five prior customer disputes and and one financial event. The Financial Industry Regulatory…
read moreWhite Plains, New York According to FINRA records,  John M. Gregory  ,  a stockbroker  who currently works  for Prospera Financial Services , discloses  a  termination from employment . The Financial Industry Regulatory Authority (FINRA) is…
read moreSee this for MARCH 2018 UPDATE–Mark Kaplan barred from securities industry for churning account of 93 year customer. APRIL 2017-UPDATE-In FINRA Case 16-0193 a customer of Vanderbilt Securities alleges damages…
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