June 2026-Hendersonville, TN According to publicly available records Michael A. Jump  (CRD#1146669) ,  a  stockbroker currently registered with Chelsea Financial Services  discloses 2 regulatory events, four customer disputes and a termination. The Financial Industry Regulatory…
read moreLast Updated: May 2026 (Lake Worth, FLA) Kevin Hobbs Investigation Summary Here’s what you need to know about Lake Worth, Florida ,  stockbroker Kevin Hobbs: Name: Mr. Kevin A. Hobbs…
read moreShawn  Parker Investigation May 2026-Schaumburg, IL According to publicly available records Shawn Elizabeth Parker,a former broker who last worked for Ameriprise Financial Services,  discloses a final regulatory matter resulting in a…
read moreLast Updated: May 2026 (Sarasota, FL) Marc Korsch Investigation Summary Here’s what you need to know about Sarasota, Florida, stockbroker Marc Korsch: Name: Mr. Marc Frederick Korsch Current Employer: Barred…
read moreMichael “Mike” Conte Investigation May 2026- Coral Springs, FL According to publicly available records, Michael “Mike” James Conte a broker previously employed with Fusion Analytics Securities discloses a prior regulatory event,…
read moreSuzanne Charrin Investigation April 2026-Greenwood, CO According to publicly available records Suzanne Charrin, a former broker who last worked for Woodbury Financial Services,  discloses a final regulatory matter resulting in a…
read moreApril 2026- Lee’s Summit, MO The FINRA records of Martin Earl Brooks , a former stockbroker who was last employed by United Planners Financial Services of America (7/2016-12/2019) , disclose two prior…
read moreJohn Terzis – Former LPL Financial Broker- Barred From Securities Industry by Regulators -Skokie, IL
John Terzis Investigation April 2026-Skokie, IL According to publicly available records John Terzis a former broker who last worked for LPL Financial Services ,  discloses a final regulatory matter resulting in…
read moreMicheal Sloan Investigation March 2026- St. Charles, IL According to FINRA records, Michael Peter Sloan, a former Wintrust Investments broker disclose a pending customer dispute. The Financial Industry Regulatory Authority…
read moreMarch 2026- St. Augustine, FL According to publicly available records,  formerly a D.H. Hill Securities  financial advisor Charles Stevens,  discloses a regulatory event under review, 3 settled customer disputes and multiple…
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